KOSPI is soaring day by day, but it's focused on specific stocks
I was holding some KOSPI and KOSDAQ stocks, and when I heard the news about being included in KOSDAQ 150
I was holding semiconductor-related companies among them...
After recovering my principal... within just two days... more than in the early stages of the Iran-US war
My remaining balance decreased even more.
Funds fled because of the launch of leveraged ETFs, and I got hit hard
and the next day I got hit again over the Iran-US confrontation
and when there was an adjustment in semiconductor leaders, I got hit again, so money is literally disappearing
They tell me not to get ups and downs, but there's no 'ups' here.
Looking at the message board, it seems there are many people in situations similar to mine
Moreover, while the index is at its highest point, my balance is at its lowest, so when there's definitely an adjustment, we'll all get hit again together
Just thinking about it makes me dizzy...