It has been a rough couple weeks for the portfolio. I sank down with a SOFI call around earnings and positions in the chip sector last week. Ironically, I wish I held on because I would've rebounded nicely and then some by now, but my risk mitigation in place told me to sell. I've started a nice climb back today but am uncertain what some good plays this next week might be, this market is an unpredictable mess. I don't have much in my account to buy expensive contracts, but any good recommendations on positions to look into further this next week/month?