I was thinking about this as well. I don’t think it’s easy to do with his style. He averages down and 90% can get out with a profit (according to his stats) On rare days that he can’t, he is taking oversized loss. If he reduces size, he may miss opportunities and it may take him forever to dig out. The question is - what will he do if he gets a few of these days in a raw? It will be interesting to watch how he gets himself out.
He has gotten himself out of a big mess before. Let's see how he does it now...
If I were him, then I would have wired out $500K and put in bonds or other assets to protect from these types of blow ups.
I think he's missing key TA chart reading. My trading technique/method would not have taken alot of his trades where he blew up. But the reason why he makes a lot more than me is that he has balls to go in with SIZE. I think I have a better "edge"/trading method than him but he has bigger balls.
There's a fundamental flaw in his trading style that lead to this. I saw it way back when I first subscribe to his room then cancel because I knew lurking in his trading style will be a huge blow up. And he has shown to me he has blown up many times. -$90K in TSLA in a few minutes. Then later on $350K then $500K. And now down $1M. His losses just gets bigger and bigger. And his max loss is MANY MANY MANY multiples of his average winners. Not a safe system to trade with that kind of stats!
To get 90% hit rate, he has to average down. It works most of the time until it doesn't...