I keep buying but I don’t see an end in sight for negative news for the stock market.
Firstly we have inflation which might last a year or more, then the war in Ukraine in which markets always overreact to, and then the actual rate hikes.
We know the market has corrected for rate hikes, but once they actually happen, it’s a roll of the dice to see how the market reacts to it, and also not knowing the size and frequency of the hikes.
What are other people doing as a strategy to handle this volatility?
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