Best have been (not in order):
$EVLV, bought when the corrected fins came out early in the year.
$KUYA, which I've been buying lows for about two years,
$ITRG, which I also basically bottom ticked. It's also one of my worst 'trades' of the year, though, because after the initial pop I sold, planning to get back in, and I just never did. Left another 100% move on the table.
$FEIM, which I posted when it was sitting on the 30W. This move has been violent!
$ELO $ELRRF which I swung well around highs and lows.
Worst was
$CSAI, which I bought too early. Realized a loss and it kept going lower. I'm back in, but more slowly.
$DMX, which is a real pity. I sold right before it ran - I anticipated the regulatory changes in Sweden would have initiated a move earlier in the year. I held for a while, but without visibility on movement and the initial thesis unrealized, I moved the money to other places. Would have been a big win. Instead, I realized a loss, small in percentage terms but my second largest in dollar terms.
$CANOF another with my third largest realized loss.
Overall, though, at >110% on the year on yesterdays close, the wins have way outperformed. 0 complaints.