NO day trading (99% lose... so 1% win, & you're probably not the 1%)


NO swing trading
NO covered calls (caps the upside you bought the company for)
NO cash secured puts (a pile of dead cash dragging your returns)
NO credit spreads (bullish & bearish on the same stock... pick one)
NO 0DTE (better odds at a casino)
INSTEAD:
Build the base... $VOO & $Q, added to forever.
When great companies fall below fair value, allocate to shares & sell 1+ year portfolio secured puts... the base is the collateral, so it never stops compounding and no cash drag like CSP.
Take the premium. Buy more shares. Ultra bullish setups get LEAP calls, funded by the premium.
Ratios always in check so a 50% crash can't touch me.
Rinse & repeat for a decade.
10 minutes a day. It's not exciting. It's just the only thing that survived 12 years of me trying everything else & actually beats the market.
VOO0.29%
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