Being the largest company and the largest holding in many ETFs, its price movement greatly influences the whole ETFs. When AAPL is down, it triggers algo to sell ETFs, which generates sell off of other stocks in the same funds. Having a diversified investment in ETF in this case still hurts our portfolio. What do we do? Ditching funds that have AAPL? How active/passive are the ETFs? With so many negative news, will the fund managers adjust their holdings soon?
Yeah hodl... until the crash
There's something about the bots that's been causing havoc in the market. Just waiting for the wallst guys to come back and fix it in Jan.