Simply putting; "if market drops by lets say another 20% (ASI at 4500) over next three months what would you do?"
My strategy would be that I would continue buy until ASI 5750 and will stop buying any further, and will start disposing counters which are having higher PE in Descending order, and will start buying again below ASI 5000. ( this is purely imaginary levels)
If you prefer the topic please contribute.