I frequently see 10% or greater swings in individual stocks. But I try very hard to buy when everyone else is throwing in the towel because of overall market or sector conditions. A 10% drop in a stock that I've already made money in doesn't bother me, as long as it is due to sector or market conditions and not because of a fundamental reason.
We'll see what happens. At some point, perhaps program survival bias will catch up with me.
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