"I learned from this that not buying because of the "Macro" can be a mistake."
Hey Friedrich
That's quite a dramatic conclusion to draw from just one investment incident. I personally tend to believe that one should utilize a sample size greater than 1 before drawing too many conclusions.
But perhaps your statistics text books were kind of unique.
But ask yourself, if you had bought MND a few months earlier than when it bottomed in early 2016, would your conclusion have been different? If, say in early 2015 you had paid over $15, because you had chosen to "ignore the macro", would your lesson have then been that "ignoring the macro is a mistake".
Or is it possible you are looking for overly simplistic lessons? I wonder what Nietzsche would think about that?
Oh but then, I forgot, you don't make investing mistakes.
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