Today there is actually not much to report on my MaxFi Robinhood Portfolio.
The yesterday mentioned SPY position has declined a bit and is now "only" earning 71% but this is weekend so volume is normally lower and a drop was expected.
I have another SPY position running with a lot larger range (30%) and consider closing this one to make it the same as the one earning 70% currently which would be a 10% range.
I will wait until the majority of earnings season is over probably.
I am not yet entering QQQ as I first want to see a further drop. I might even then consider only going USDG one sided as I expect some further downside.

Disclaimer:
No financial advise.
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