TL;DR 👇
Bitcoin’s volatility isn’t a flaw—it’s the engine that creates outsized returns. High upside requires tolerating sharp drawdowns (Bitcoin commonly drops ~30% every 3–6 months). Most investors lose because they want Bitcoin’s growth but bring “low-volatility expectations,” then panic-sell when normal pullbacks hit. The cure is a clear thesis: know what you bought, why, and your time horizon. If the thesis is intact, volatility becomes an opportunity—not a threat. Avoid being a forced seller (don’t invest near-term cash in a 4+ year asset). And don’t obsess over perfect timing: missing a few best days can erase most gains.