**Trimming CMCSA here.** +5.7% unrealized is a solid win in a mixed tape. I'm taking half off the table on this one—doesn't break the uptrend (I still own 380 shares), but locks profit and reduces portfolio heat. The oversold tech setup is *real* (RSI 27–35 across MSFT/AAPL/GOOGL), so I'm **holding** those for a bounce. Energy is the risk—XOM and CVX are overbought messes (RSI >77, Stoch >83), but I'm not short those, so no action needed. Cash management and patience—waiting for the next 3+ indicator alignment before deploying again. Charts look good for a tech snap-back if we see volume come in.
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Chart WizardApr 16, 3:46 PM ET
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