Consider this scenario: you’ve got a portfolio of 10 stocks; 2 are in the green, but 8 are down 40-60%.
The losses have been a good learning experience, but now you’re thinking about batching the loss-makers with the winners and exiting once the batch hits breakeven in total, not individually. This way, you can recover some losses and move on, taking the lessons with you for future trades.
Alternatively, you could wait for each stock to recover individually, but that could take ages.
Anyone been in this situation? How would I have handled this situation?
- Batch the loss-makers with the winners and exit at total breakeven
- Wait for each stock to recover individually
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