2008年のリーマンショック後、S&P500に10年間投資し続けた者は年率9.5%のリターンを得た。一方、最悪の5日間を逃した者は年率5.3%に落ちた。市場のタイミングを計ろうとすることは、市場に居続けることの力を過小評価させる。
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