I have held $USUAL since the first day before the market opened, continuously increasing my position along the way. My estimate for it should be around 3-5 dollars, so I haven't sold. Even with the drop in the last couple of days, I considered the combined effects of the overall market and the increase in TVL, and I didn't make any moves. I also didn't change my long position on the 1.02 contract. As of now, TVL has decreased, and there has been a unilateral market sell-off. I exited my spot positions and stopped out on contracts. Let's watch for 0.8, possibly dropping to around 0.6.
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