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What if there is a 20% correction in major indexes later this year? What would your strategy be? Would you buy more for long term or would you simply ride it through without buying or selling anything? Which sector would you look to invest in if you have been waiting on the sidelines? Or would you wait for the market to correct more and possibly miss out yet again? Or just simply continue DCAing into index fund and buy more at lower price to make your average price bit better?



Submitted June 03, 2021 at 02:04AM by green9206 https://ift.tt/3peaH3n

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