Hesitating—should I exit the market?

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Abstract generation in progress

Holding 7 IM positions, 2 IC positions, leverage of 2.8x. One IM position was added at 7527 points at the end of December last year. I want to ride the main upward wave, but it now seems more like a roller coaster.
Profit peaked at 4.75 million on the best day in January, but as of yesterday, it’s down to 3.12 million.
I’m now torn between continuing to hold and absorb the discount, whether the bull market is still ongoing, or cashing out to realize gains.
Having experienced the markets before September 2022, 2023, and 2024, I always lack confidence in A-shares.

  1. Continue holding, earning an 8%-10% discount annually. Long-term holding can make money, but the volatility is huge (after experiencing a bear market, I think everyone understands the bad memories).
  2. Cash out to lock in a profit of 3 million immediately, since this money took 10 years of hard work to save.
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