👉 An investor's fluidity refers to their ability to adapt and adjust their investment strategies in response to changing market conditions, new opportunities, or risks. This flexibility allows them to pivot their portfolio, explore alternative investment avenues, and reallocate resources efficiently, ensuring they remain competitive and responsive to the dynamic financial landscape. By maintaining a fluid approach, investors can capitalize on emerging trends and mitigate potential downsides, ultimately enhancing their chances of achieving long-term financial success.