So market closing price for S+P today (1941) higher than yesterday (1867), but still almost 10% down from past 52 week high.
Over this past week I transferred cash of about $22K in total on 3 separate days; $20K in US S+P index, and rest in International.
That's it for me, probably won't touch any more cash, but I do think I'm changing my DCA plans in the short term. I have been buying about $1k every other Friday in International but I'm going to switch that to US Equities because I'm feeling that 10% total portfolio in International is all I want right now.
I'm glad to hear I'm not alone in my buy-on-sale spree, and I'm very interested to hear how this turns out for everyone, and at worst, it will be a learning experience, right?