$MU 5000 main principal 15x leverage; bought at 713. I clearly knew it was already bottomed out and would rebound 100%, and I also had the funds ready—but I just didn’t grasp the opportunity control. I really don’t know what to say. How should I reflect? My hands are so impulsive. When I was holding well at 713, I still insisted on showing off and “performing” my moves. In the end, the last one lasted only nine hours; I couldn’t hold on until the two hours before/around the market open. Truly, mindset determines everything. We really need deep reflection!