⭐ 2025 Reflection — What the Market Taught Me 2025 started with confidence because of last year’s gains. The first two months were calm, and many expected a correction, but few expected the speed of the decline. The market dropped almost 20% in 30–40 sessions, wiping out most of 2024’s gains. What made the drawdown manageable was the asset allocation, if it tanks 30% will the confidence factor increase to buy the dips and since The earlier selection was quality and ETF. Deciding factor is raise funds quickly and absorb the dips as much as I can I added during declines, but the biggest lesson was: Have rules, and follow them exactly. I broke my own rule by buying dips too