Q1 earnings season: what themes are emerging?
CPI print reaction: headline 3.1%, core 3.4%. Bond market sold off then recovered. The trend matters, not any single print. Core services ex-housing is what the Fed watches.
23 Comments
I've been thinking about this too. What's your time horizon?
What's your target withdrawal rate in retirement?
What brokerage are you using for this?
Be careful about survivorship bias in this analysis.
Have you stress tested this against a 40% drawdown?
Not financial advice but I'm doing the exact same thing.
This is exactly what I needed to read today.
How long have you been doing this? Impressive numbers.
The compounding at year 20+ is when it gets really wild.
I respectfully disagree. The data suggests otherwise.
The psychology of money matters as much as the math.
Done similar analysis. Your numbers check out.
What's your thoughts on the downside risk here?
I've been thinking about this too. What's your time horizon?
The compounding at year 20+ is when it gets really wild.
I ran the same numbers. You're on the right track.
I respectfully disagree. The data suggests otherwise.
Counterintuitively, the best time to buy is when you're most scared.
The compounding at year 20+ is when it gets really wild.
Appreciate the transparency here. Most people gatekeep this stuff.
What's your thoughts on the downside risk here?
The exit strategy is what most people don't think about.
How long have you been doing this? Impressive numbers.
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