So far, we’ve covered seven important lessons that the market taught investors in 2015 about the prudent investment strategy.
These lessons, some of which repeat year after year, have addressed active management as a loser’s game; the correlation between the stock market and the economy; the “Sell in May” myth; fear about inflation; the mistake of chasing recent performance; and forecasts and issues with the strategy of investing only in dividend-paying stocks.
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