08-23-2021, 08:36 AM
(This post was last modified: 08-23-2021, 08:37 AM by ken-do-nim.)
Revisiting this topic, I've decided to adopt a 3-tiered pyramid model, where the highest tier is speculative or triple-leveraged (SPXL for example), the middle tier is strong growth or double-leveraged (QQQ or SPUU for example), and the base tier is made up of solid performers (JNJ, VOO for example). Doing some math, the percentages come out to:
Top tier: 3.7%
Middle tier: 25.93%
Bottom tier: 70.37%
Rebalancing downwards will be done once a quarter.
Top tier: 3.7%
Middle tier: 25.93%
Bottom tier: 70.37%
Rebalancing downwards will be done once a quarter.