18 September 2023
New Investors: Avoid THESE Mistakes and get MASSIVE RETURNS
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Summary
Presents a portfolio model: 30% broad ETFs, 30% blue-chip stocks, 20% defensive stocks, and 10% speculative investments. Recounts wiping out his 2021 leveraged-CFD day-trading account after margin calls, and strongly rejects options, CFDs, and leveraged trading. Advocates support/resistance analysis, dollar-cost averaging, buying gradually, and resisting FOMO-driven peaks or panic selling at market bottoms.
Insight
His past trading loss motivates a diversification-first, emotionally disciplined investment philosophy.