Pat, If would be instructional to learn what triggered you to buy QLD at the close on Jan 13? Why QLD instead of SSO, which you bought on Jan 6 and Dec 21 and Nov 30? Or instead of buying both SSO and QLD as you did on Nov 10?
Also, what risk/reward factors lead you do buy a 40% initial position vs. the 20% positions you have been buying since Q4 2022? Thank you, Russell