Look at all of the large drawdowns across the same price range.
2009 = 20% drop 2010 = 18% drop 2010 = 14% drop 2011 = 38% drop 2012 = 20% drop 2013 = 25% drop 2014 = 18% drop 2014 = 13% drop 2015 = 11% drop (so far)
From 2009's top until present - China is flat (measured by FXI), yet it has had MASSIVE VOLATILITY in price across a large price range. All of that "indigestion" (nearly 6 BEAR MARKET MOVES IN 5 YEARS!!!!) has led to a nice rally here at the end that has captured the world's attention. Their IPO market has stocks triple, rise 300%, on opening day. This action is what bubbles are made of.
What does the next 5 years hold?
Would you buy and hold from right here for 5 years?
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