I’m guessing a lot of us are in the same situation. News that I would normally perceive as 90% good/great or mostly irrelevant have dragged my stocks down 4.5% in less than a week. While the S&P is doing ok (but not great).
I have no extra $$ right now to buy low even if I were so inclined (which I’m doubtful at the moment).
Feeling like the George Costanza of stock picking right now (do the opposite of me).
-Bob
long… face (get it!)