u/Broad-Ad3990

Hi all,

I appreciate the buy and hold long-term strategy of XEQT.

I even buy some in dips on margin and sell when recover.

Overall, I just feel it's boring.

It's probably a mix of greed and impatience, but when I see stocks exploding +1000% in like 3-6 months, it make me wonder ...

Right now, I invest 825$/week (625$ XEQT, 70$ MNY, 30$ ECHI/HHIC/UTES, 100$ Crypto ETH) thanks to a T1213 deduction at paycheck.

Since I'm 33, no kid, no debt, no payments, drive old corolla, great job : I feel it's appropriate to be more aggressive now, and de-leverage/de-risk over time.

Do you think my investment is 'aggresive enough' ? What would you tweak?

Thanks you !

https://preview.redd.it/83x5pt2ubcyg1.png?width=1911&format=png&auto=webp&s=76caa597cc518d3816e500dd1a476448299e9621

Edit - best response I received :

#1 - Embrace boredom. Boredom is good. It's how we win.

#2 - Maybe, just maybe, use 5%-10% of portfolio for 'fun investing' knowing it will probably underperform/go away.

#3 - Just buy XEQT lol

PS : I much prefer to become poor than become unkind.

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u/Broad-Ad3990 — 14 days ago