This portfolio will lose 60 to 70% if the next crisis is .com crash like the one in 2000. It will lose 50% to 60% if the crash is like the one in 2008. It will lose 20% to 40% during next recession. The reason being is that you have the x3 ETF which can gain 3 times and likewise it will lose 3x. It is Risky. Your porfolio is very heavy on tech, which is not deversified. The only deversified one is SPY, even this is not diversified enough. What about mid cap and small cap? What about international stock index and bond index? What about US bond investment? That is why I said that it is a gamble on tech portfolio, not an investment portfolio.
Very risky! Not diversified! It is gamble, not investment.
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• 嗯哪。International stock 买什么股?bond 买什么股?是不是买Age related fund/ETF? -竹引清风- ♀ (0 bytes) () 04/25/2017 postreply 21:33:24