Volatility’s been wild lately, and I’m curious how do you all handle DCA when prices swing 10% in a day? I used to panic and pause buys during dips, but now I’m trying to stick to a schedule no matter what. Still, part of me wonders if adjusting amounts or timing during extreme moves makes sense.
Do you keep it mechanical, or do you tweak your approach when the market goes nuts? Would love to hear what’s worked (or backfired) for others.