For past 2 years no news has caused market to react negative or positive. Thn came Trump s love for Tariffs.
I lost 230k in past 3 weeks because of market reacting to the tariffs news in absolute shit way.
2 weeks I lost on calls that were printing solid green until he said tariffs on mexico and canada. 130k went out the window in just an hour or two.
Yesterday, the market welcomed shit CPI, PPI and tariff news with ATH. 100k went out the window on puts.
I'm super lost now. I followed the fundamentals and had all the alerts setup right. You might say, what about stop loss but even with that the loss is just absolute heartbreaking.