Investors need to understand that market corrections are a part of every cycle and can be stressful. The cause of volatility in the market can be due to economic and geopolitical factors or investor sentiment. Investing for the long term, diversification of the portfolio, rebalancing the portfolio, investing in quality companies, accumulating at lower valuations, having cash, and staying calm can help investors navigate the volatility of the markets. It is also advisable to stay informed about the developments in the market and engage an investment advisor, if necessary.