Subramanyan
01-02

$Tiger Brokers(TIGR)$ 2025 taught me some valuable lessons about the interplay of political, economic & technological factors: typically rewarding investors who stayed disciplined & diversified. I was mostly disciplined (Except when I bought DJT) but faltered in diversification viz. especially in a single region US &  sector like Crypto stocks. And this cost me dear. Patience pays off in the long run is the 2nd lesson I learnt & hope that this will save me in the long run along with the 3rd - Fundamentals matter most. Policy impact is significant is the final lesson.

And the Bove sums up my performance overview as well.

2025 Recap | Sum Up Your 2025 Investment Journey In One Sentence!
2025 came to a close with global markets swinging between political shocks and technological breakthroughs. Trump’s return reignited policy uncertainty, AI competition reshaped capital allocation, gold rewrote history, and megacaps expanded the limits of imagination. Markets trembled under tariff threats — yet celebrated amid an unprecedented computing boom. What trade taught you the most this year? How do you review your 2025 performance?
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Comments

  • RgSFO
    01-03
    RgSFO
    Individual stocks performance is mostly based on perception and fundamentals and big funds. Total market or S&P 500 gives the widest diversification, and its performance depends on monetary policy, fiscal policy. In this situation, a long term focus is ideal. Because, bear markets don’t last longer than 6 to 18 months and the markets proceed to make new highs after that. But the same thing can’t be said about individual stocks. There are stocks like Intel which is in a bear market since it hit a high of $80 in 2000.
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