M+ Online - Muar
29/02/2020
This table is a statistic,based on S&P500 and tells us the probability of "Frequency & Magnitude of Corrections" from year 1926 to 2019.
Apparently a 10% to 20% corrections happened for 8 times which is about 7% chance. Corrections more than 20% is even rarer with a chance at 3% and less.
So the question now is, how an average investor can live with these odds? And an investor pulls the trigger to buy during these critical crisis-like times?
Source: The table is retrieved from www.investmentmoats.com
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