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Equities Position Update
Currently holding one of the most substantial long positions in my portfolio history. The scale is notable enough to warrant attention—concentration risk is a real consideration here. A significant chunk sits in the pension fund rather than the active trading account, which actually provides some structural balance.
Across markets, the positioning breaks down like this: long exposure to the Russell 2000, maintaining positions in DAX, and holding the Nikkei 225. This multi-market approach spreads risk across geographies while maintaining a fundamentally bullish stance on equities.
The size does give me pause. It's one thing to believe in upside; it's another to actually commit this level of capital. But sometimes the conviction calls for proportional sizing.