For me it’s calculated patience. To be fair, last year I made a few bad decisions in retrospect $SoFi Technologies Inc.(SOFI)$ was one. It just has not performed the way I expected. But others like $Archer Aviation Inc.(ACHR)$ and, $Advanced Micro Devices(AMD)$ and $Venture Global, Inc.(VG)$ have recently gone nuts.
Big question for me is do I cut my loss on the nonperformer, and buy more of the ones doing well? Such an emotional decision.
But I’m not emotional, all four to me still remain very positive long term, so I’ll just keep accumulating all
# Is Being Quick to Act in Stock Market a Strength or a Risk?

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