The market suddenly shifts from a risk-avoidance mode to an offensive mode. What should ordinary investors do?



What is the biggest mistake?
Buying full positions when prices rise.
Cutting losses when prices fall.
True experts are often a step behind.
My strategy
Continue to watch BTC;
Moderately hold gold;
Temporarily observe crude oil.
The reason is simple.
The market won't immediately enter paradise because of an agreement.
But reducing risk does help asset prices recover.
Is the agreement solid?
I think:
Short-term stability.
Long-term continued observation.
After all, geopolitics has always been a soap opera.
But at least, for now, the market has hit the pause button.
#比特币反弹
BTC2.78%
GLDX3.52%
PAXG2.33%
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HighAmbition
· 54m ago
LFG 🔥
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