Ran a $100k → $1M challenge last July. Trying to repeat in Jan. After a rough Q4, the main lesson was knowing when to risk on vs risk off. December saw persistent US sell pressure and a deeply negative CB premium (ETF rebalancing / tax selling). I expected that to reverse in
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Ran a $100k → $1M challenge last July. Trying to repeat in Jan. After a rough Q4, the main lesson was knowing when to risk on vs risk off. December saw persistent US sell pressure and a deeply negative CB premium (ETF rebalancing / tax selling). I expected that to reverse in