The idea of missing the best and worst days is eye-opening. Avoiding the worst days boosts returns, but timing that is incredibly hard. That’s why I use a buy-and-hold approach for core positions, with some cautious adjustments during volatile times to manage risk.
For most of us, the best move is to stay disciplined and avoid emotional decisions. We may not predict when lightning strikes, but staying in the market gives us the best shot at catching the recovery.
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