Cristian Borelli
Stay Calm — Corrections Are Normal Big drop today, I know. But let’s stay rational: this kind of pullback is part of every market cycle. The reasons? – Warning from big names like $GS (Goldman Sachs Group Inc) and $MS (Morgan Stanley) valuations too high, possible 10-15% correction ahead. – AI euphoria cooling down: $NVDA (NVIDIA Corporation) and $PLTR (Palantir Technologies Inc.) leading the tech sell-off. – Global sentiment weaker after fiscal concerns in Europe. Nothing fundamentally broken — just a “reality check” after months of strong gains. Our portfolio stays diversified and long-term focused. We don’t react emotionally; we stay invested. And as always, I’m closely monitoring the market to see if we can open new positions at a discount from current levels. 𝘐'𝘮 𝘢𝘯 𝘐𝘵𝘢𝘭𝘪𝘢𝘯 𝘪𝘯𝘷𝘦𝘴𝘵𝘰𝘳 𝘢𝘯𝘥 𝘵𝘩𝘦𝘴𝘦 𝘢𝘳𝘦 𝘮𝘺 𝘳𝘦𝘴𝘶𝘭𝘵𝘴: 𝟱+ 𝗬𝗲𝗮𝗿𝘀 𝗶𝗻 𝗮 𝗿𝗼𝘄 𝗶𝗻 𝗽𝗿𝗼𝗳𝗶𝘁! 2020 ✅️ +24.27% 2021 ✅️ +22.44% 2022 ✅️ +4.74% 2023 ✅️ +26.63% 2024 ✅️ +13.62% 2025 ✅️ +25.43% 🟢 Return 2Y +47.12% 🟢 Total return +187.66% 🟢 AVG Risk Score 3 🔷️ 𝐞𝐓𝐨𝐫𝐨 𝐏𝐨𝐩𝐮𝐥𝐚𝐫 𝐈𝐧𝐯𝐞𝐬𝐭𝐨𝐫 🔷️ ✅️ Copy with at least $600 ✅️ Copy for at least three years ‌ Copy Trading is not investment advice | Capital at risk | Past performance does not guarantee future results $SPX500
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