U.S. stocks have recently come under pressure following President Trump’s pivot toward more protectionist economic policies. However, seasoned long-term investors recognize that these sharp market pullbacks often present compelling buying opportunities.
With this principle in mind, I’m strategically leveraging the current marketwide weakness to accumulate shares of two ultra-high-growth stocks. What follows is a concise overview of their investment theses and key risk factors to consider.
This post originally appeared at The Motley Fool.