Market up a lot in the past 2 days. Took profit on some Big Tech, software and crypto. Covered some shorts. Then bought back the crypto end of Friday's session after it corrected.
Next week, look to take a little more profit, then Short more. Prefer to short stuff that: even apart from high rates/oil, will do badly in a contracting economy. I might still be short it 3 to 6 months later.

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