The 3/5/30 rule made me consistently profitable:
3 = Only trade 3-5 leveraged ETFs you'd own forever (I use TQQQ, SOXL, GGLL, BITX)
5 = Target 5% return per trade (achievable, repeatable, compounds fast)
30 = Only sell 30-day options (sweet spot for premium vs risk)
Before this rule: chaos, stress, small wins, big losses.
After: Peace, consistency, $15K-$47K monthly. Which do you prefer?
You're running a worse version of QQQ and don't even know it.
10 tech stocks.
10 positions to manage.
10x the headaches.
Meanwhile QQQ is beating you.
The fix?
Swap all 10 for TQQQ.
Same exposure.
3x the premium.
1 position to manage.
You've been working 10x harder for worse results.
Consolidate. Simplify. Win more.