@nomadic_m:Trading strategy for navigating October's election-driven volatility involves a dual-pronged approach. I will lock in profits on satellite positions, trimming exposure to high-risk assets, while simultaneously identifying opportunistic entry points to buy the dip on core holdings with strong fundamentals. This tactical shift will also involve adjusting position sizing, tightening stop-losses, and selectively allocating capital to quality stocks exhibiting resilience. By balancing risk management with strategic buying, I aim to capitalize on market fluctuations and maximize returns amidst the uncertainty.