#mystocksquestion In today's market, retail momentum can move billions in minutes and AI bots front-run every piece of news. Honestly, traditional "patience" sometimes feels like a trap.
As traders, how do we actually notice or find the difference between a stock that is fundamentally breaking down versus a massive institutional liquidity hunt designed just to shake out our stop-losses?
When the screen goes completely red, how do we know if we' re being disciplined by holding on, or just stubborn? Where should we draw the line?