There are some rumours that the prices would get down again for one or two times before they reincrease to the level around before the latest year end and even higher. Can anyone here enlighten me and newbies like me, which is better to do if that really happens:
1) hold our assets and wait until the market got fully recover to start trading.
2) increase our capital to reduce the average price.
3) sell our assets with the assumptions to got deficit prives, and then rebuy again at this price.
4) others.
Any suggestion?
You already mentioned most of the suggestions that comes to my mind. I really think the best way is to hodl, or if not, to cut-loss. Buying during the dip is also advisable just to reduce the average price of your investment. The worst decision to make is to cash out during the bear market, which will just result to losses.