I'm curious if anyone here has actually done this successfully over several years. The strategy I'm thinking about is pretty simple: Wait for a high quality with good foundationcompany (e.g. NVIDIA, Google, Microsoft, Apple) to drop 3–10%. Buy the dip. Hold until it recovers 3–10%. Sell the entire position. Wait for the next opportunity in another quality stock. Repeat throughout the year. For example NVIDIA drops 5%, so I buy with 100k. A few weeks or a month later it's up 5%, so I sell. Lat
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