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Defend portfolio by buying dips, not selling early

The guest's portfolio management thesis was to defend positions by buying significant dips and holding through volatility to maximize returns, rather than taking premature profits.

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You've read the thesis and who argued it. A free account opens the argument, what validates it, the risks the show raised, and the moment in the episode where it was said — 3 ideas in full a day, no card.

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NOT INVESTMENT ADVICE · A SUMMARY OF WHAT WAS SAID ON THE PODCAST · VERIFY AGAINST THE SOURCE