When you've been red for so long that fear doesn't even register anymore. That moment when your portfolio hits rock bottom and you realize—wait, can't lose what's already gone, right?
It's that weird zen state every trader secretly knows. Your stop losses? Ignored ages ago. Your risk management? What's that? At this point you're basically trading with house money, except the house burned down three months back.
Anyone else reach that stage where checking charts becomes less stressful simply because expectations literally can't go lower? No panic selling when there's nothing left to panic abou