I’m investing in VT for the longterm.
When the market shows signs of swinging the other way (am I right in thinking this is about two years away?), I really only see three possibilities:
- Hold for dear life and continue purchasing at a discount,
- Hold current shares while purchasing Inverse ETFs,
- Sell all shares to (hopefully) later buy at a discount.
Would it be best to choose the second course of action, and/or is there anything else I could do?
Submitted November 07, 2024 at 10:20PM by terrible-investor https://ift.tt/NI7M9Qi