What do you think about this ratio for a 30 year hold?
I was thinking each year I would incrementally reduce the tqqq percent( ie: year 15 would, I would target closer to 85/15 and moving)
I have very high risk tolerance, and I’m just looking for maximum growth potential.
I’ve read 2x leverage is optimal, so this would actually still be less than that.
Appreciate any advice on this strategy.