📖Jesse Livermore

Learn from Past Sells

🌿 Intermediate★★★★☆

Post-mortem every sell decision to improve.

💬

After every sell, review the outcome. Did you sell too early, too late, or at the right time? Post-mortems on sell decisions improve future judgment.

— Reminiscences of a Stock Operator,1923

🏠 Everyday Analogy

Market cycles resemble seasons: planting, growth, harvest, and winter. Using one strategy in every season leads to repeated mistakes.

📖 Core Interpretation

Jesse Livermore sees markets as cyclical rather than linear. Understanding cycle position improves risk-taking decisions more than trying to call exact tops and bottoms.
💎 Key Insight:Reviewing sell decisions sharpens future timing.

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❓ Why It Matters

Ignoring cycles repeats the same mistakes: excessive optimism at peaks and excessive pessimism near troughs. Context matters for position sizing.

🎯 How to Practice

Monitor credit, valuation, earnings, and sentiment signals; reduce aggressiveness in euphoric phases and preserve flexibility in fearful phases.

⚠️ Common Pitfalls

Treating short rebounds as full cycle turns
Extrapolating peak conditions indefinitely
Becoming maximally defensive near valuation troughs

📚 Case Studies

1
Bethlehem Steel Bull Run (1915)
Livermore built an initial stake, then pyramided only as the stock advanced and confirmed strength, adding smaller tranches at higher levels to control risk.
✨ Outcome:Captured a large portion of a powerful wartime advance while limiting exposure if the uptrend failed.
2
Shorting the 1929 Crash (1929)
Identified market weakness, started a core short position, then pyramided correctly as the decline gained momentum, adding to winners only when prices moved further in his favor.
✨ Outcome:Amassed one of his greatest fortunes as the market collapsed, while avoiding reckless over-sizing early.

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