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The piece argues that price volatility is a normal feature of risk assets, while the genuine threats to investors are permanent capital impairment, forced selling from leverage, and illiquidity at the wrong moment. For crypto and equity holders, this frames drawdowns in BTC or the NASDAQ as tolerable if position sizing avoids margin calls and forced liquidations, which are the actual destroyers of long-term returns. The source is an opinion column with no new data, so it carries no directional market signal beyond a reminder to monitor leverage and liquidity conditions during stress episodes.
As a Research signal, confirm the link to liquidity, rates, policy timing, and price reaction before drawing a trading conclusion.
Original Source: Yahoo Finance
This page is market information analysis, not investment advice.
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