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      01-17-2020, 05:59 PM   #19
RickFLM4
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If truly concerned based on your analysis I’d say 20% - 30% liquid seems more rational to me. Avoids missing upside if you are wrong and the run continues, while mitigating downside risk and providing some liquidity to reinvest if the downside actually happens. Ultimately it’s your money and you need to do whatever makes you comfortable but doing anything other than leaving it in and averaging is a form of timing the market and we all know how that goes.
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