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Learning from 130 Years of Stock Market Crashes: Resilience, Strategy, and a Dose of Doug (SB1695)

The Stacking Benjamins Show

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Lessons from Historical Market Turbulence

This chapter explores the impact of significant historical events on the stock market, such as the oil embargo and the Watergate scandal, particularly during the challenging economic environment of the 1970s. The discussion emphasizes the value of long-term investments, the role of diversification, and strategies like dollar-cost averaging to navigate market volatility. It reflects on the importance of learning from past market downturns to build a resilient financial plan for future uncertainties.

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