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My investments are generational, so this drop is simply a buying opportunity. I agree with you that the drop is based on macro factors, as my entire portfolio is down this morning and yesterday, with the exception of NVDA. My price target for Q4 ER was $37 last fall. Anything over that is a huge bonus. I’m of the opinion that a drop and consolidation at $60 is healthy. I remain bullish for both near and long term.

Thank you for your insights and analysis.

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