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Can probabilistic models handle harder cases, such as 1987, 2008, or the 2010 Flash Crash?

No system or approach to investing can eliminate risk, but there are prudent ways to manage and mitigate risk, even during periods of extreme volatility. While there is no question some market events are harder than others, the links below will take you to videos covering the value of “paying attention and adjusting”, a concept used in the CCM Market Model:

  1. Black Monday - The 1987 Crash
  2. The Financial Crisis – 2008
  3. The Flash Crash – 2010

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