EDUCATIONAL PORTFOLIO UPDATES (15% CAGR – 30/35% Max. DD) + ACCESS TO EXCLUSIVE ARTICLES IN SUBSTACK

Before you buy…

*If you want to «imitate» the EDUCATIONAL PORTFOLIO, please understand the backtest first. The drawdown depth and frecuency. Understand it «only» outperforms 53% of the time, but the strategy is prepared for all market cycles so it ends up compounding bigger and protecting you from downside*

*It just won’t work if you don’t plan to stick with it. 17% CAGR vs 11% SPY as showed in the backtest since 2008 create big wealth gaps. Also, expect 15% CAGR vs 8-9% SPY.*

*NO gambling, NO random guessing, NO shorting, NO leverage, NO falling in love with any asset, NO switching rules constantly, NO staring at a screen (monthly changes)*

*Monte Carlo analysis says randomizing returns and volatility (covid crisis is included adding fat tail risk) using computer calculus it is impossible to lose money holding for 5 years.*

*This is a high conviction strategy I trade for myself and others*

If you have more doubts, please reach me out at: dualmomentumjourney@gmail.com

THIS IS NOT A SUBSCRIPTION, IT IS AN INVESTMENT.

Monthly Plan: https://buy.stripe.com/28E9ASbfp2DhbLDgrHfrW00

Anual Plan (the best option): https://buy.stripe.com/fZu8wO4R1gu73f78ZffrW01