In a bear market, holding for long-term recovery or strategically selling to limit losses depends on your personal risk tolerance.During a bear market, it's often wise to hold for potential long-term recovery or strategically sell to minimize losses based on individual risk tolerance.
During bear markets, I focus on maintaining a long-term perspective, employing dollar-cost averaging, and rebalancing my portfolio to manage risk while awaiting a potential rebound.With the market in the red, the big question arises—should you hold tight for the rebound or cut losses and sell? What strategies do you follow during bear markets?