JWC83 retweetledi

The "boring" portfolio that outperforms everyone:
3 tickers: TQQQ, SOXL, NVDL
1 strategy: Sell puts on red days
1 rule: Close at 50% profit
1 timeframe: 30 days out
1 check per day: 2 minutes
Monthly return: 8-12%
Yearly return: 96-144%
Screen time: 15 mins/week
Stress level: Zero
Meanwhile the "exciting" portfolio:
20 tickers, 10 strategies, 8 hours/day, 40% return if lucky.
Boring wins.
Every single time.
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