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A major correction also isn't that surprising. I started planning for it six months ago. The current market behavior is what I'd call "in model". It can always get much worse but this isn't that.



A correction has a specific meaning (drop of >10%). We aren't there yet with regards to the SP500. I think it would be more accurate to call this above average volatility.


As the adage goes, time in market beats timing the market.




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