The stock market is experiencing a correction, with foreign investor outflows and other factors driving the decline. @Bhuvan explains why markets fall, the role of risk, and how simple things like asset allocation and diversification can help. It also highlights historical market cycles and the impact of investor psychology on volatility.
In the post, he doesn’t just analyze the markets, he makes sense of the chaos in a way that’s clear, perceptive and a little too real.
For a quicker version, you can watch this video: