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Part 29: VladStocks: My Biggest Stock Holding Up a Huge 13% Today!
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In this episode of VladStocks, DJ Vlad breaks down one of the most important investing strategies he’s learned over the past 15 years: dollar-cost averaging.
Using real purchases from the VladStocks portfolio, Vlad shows how he continued buying shares as the price dropped—putting roughly the same amount of money in each time while accumulating more shares at progressively cheaper prices. As the stock recovered, those lower-priced purchases produced significantly larger returns than his original investment.
Vlad also gives an update on the overall VladStocks portfolio, explains why he prefers a long-term buy-and-hold strategy over constantly trading in and out of positions, and discusses how he approaches market drops without panicking.
For Vlad, the goal isn’t to get rich overnight. It’s to consistently invest in companies he believes in, take advantage of lower prices, and let time do the work.
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