If the market drops 10%, I’d likely buy more — especially in sectors like SOXL, tech ETFs like QQQ. A 10–20% dip doesn’t bother me if fundamentals remain strong. I use dollar-cost averaging and see pullbacks as long-term opportunities. It's all about staying focused on the bigger picture, not reacting to short-term noise.
I won’t lock in profits just yet, but I’m watching for signs of weakness in September. If needed, I might trim exposure and keep some cash ready. For now, I stay invested but prepared.
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- SiliconTracker·2025-08-03TOPSticking to semis here too, dips look tasty for DCA. Bullish till 300MA breaks!1Report
- DaveLewis·2025-08-01TOPYour strategy sounds solid1Report
