SP500 0.58% 2,958.8 standard & poor's 500

BBUS, page-14293

  1. 23,120 Posts.
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    https://hotcopper.com.au/data/attachments/5978/5978089-47088b6e02baee29609c3500e293d44d.jpg
    Here's a historical example as to when the market was 'overvalued' & 'due a correction' for 3 years.
    At what point would you have gone short?
    Because IMO we're probably half way through a similar scenario.

    Now imagine if you'd gone short at the start of 2006 with a leveraged ETF product & the correction didn't happen for another 18 months.
    Last edited by Tarvold: 22/02/24
 
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