Exit Strategies and Timing
Hey all, TIA.
I have been trying to prep in the event that anything wild happens in the next few weeks and just realized how ill-prepared I am. I tried reading some Exit posts on the big sub (like this one: https://www.reddit.com/r/Superstonk/comments/nogxnr/infinity_war_the_final_exit_dd_compilation/) but it didn't address some of my specific questions.
I've been holding since late 2020, buying more here and there when I can. Let's say, for ease of math and percentages sake, that I own 10 shares. How many should be DRS'd and held in Computershare? Ideally all of them, right? But I have read that it is more difficult and time consuming to sell through CS than shares held with brokers? I have also read that I should, if I want, keep some shares in reserve forever, which I am fine with. I am not selling any of my GME for anything less than life-changing money.
Based on what I have read, it sounds like, should the MOASS occur, you should sell shares in batches to maximize profits. So, based on holding ten shares, should I DRS and hold 1 share forever, then sell the other 9 in increments during MOASS? Sell 1 share, then 2 at another peak, then 2 again, then 2 again, then 1, then 1? Is it ok if the other 9 are just held in a Fidelity account while awaiting the MOASS? Feels bad to not DRS all of my shares, but I just want to make sure I have the necessary liquidity should the time come to move some shares.