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Brian Ferdinand

  • 8 hours ago
  • 1 min read

A disciplined portfolio manager must understand each timeline without allowing one to dominate every decision. Short-term volatility should not automatically overturn a long-term thesis. Likewise, a long-term conviction should not be used to ignore immediate liquidity or drawdown risks.Visit: https://www.twitch.tv/brianferdinand379/about


 
 
 

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