Seems like ages ago, but around April 8 2025 the QQQ had tumbled over 20% and everybody wished they had a "safe" portfolio like your conservative relative that only buys Munis, T-bills, etc.
It all changed pretty quick. What top 3 lessons did you learn?
- Can't time the market, stay invested.
- Don't listen to the news ever again.
- Be more diversified: Europe, bonds, gold.
- Nothing. I invest systematically.
- When down 10% do nothing. It's too late.
- Learn to take advantage of volatility with small bets.
- Always have some cash.
- Fix mistakes quicker.
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Cheers.
"The biggest risk is not taking one"
