It is difficult to time the market. Managing your credit and liquidity risk based on valuation matrics make sense. Exiting the market does not. Key importance is the ability to withstand the downturn.

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  • PagRobinson
    ·2021-11-05
    This is what economists have been trying to figure out for more than 100 years. Finally, they come to the conclusion that stock prices walk randomly. It is too difficult to predict the stock price and avoid risks perfectly. What we can do is to reduce risks by diversifying investment as much as possible.
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  • DaisyMoore
    ·2021-11-05
    的确如此。这是许多经济学家和金融机构的专业投资者想要弄清楚的。但事实上,这很难做到,否则市场上的钱都将流向一个人的钱包。
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