Buy and hold Microsoft CFD - #MSFT every 12 days.
If you would be started in 2007 with 100 USD capital and no matter what buy 0.1 lots every 12 days (Leverage for stocks CFD is 1:5) and never close deals. As your equity grows - make more lots per deal accordingly.
Then today would have in account 226000 USD. Maximum drawdown 90%... Margin almost to stop out level. All or nothing..
I run EA to simulate this "strategy" from various dates - never fail. It survived 2008 crisis. And 2018 stocks drop and 2020 covid crash.
Do you believe in Microsoft for the next 10 years from now?
If you would be started in 2007 with 100 USD capital and no matter what buy 0.1 lots every 12 days (Leverage for stocks CFD is 1:5) and never close deals. As your equity grows - make more lots per deal accordingly.
Then today would have in account 226000 USD. Maximum drawdown 90%... Margin almost to stop out level. All or nothing..
I run EA to simulate this "strategy" from various dates - never fail. It survived 2008 crisis. And 2018 stocks drop and 2020 covid crash.
Do you believe in Microsoft for the next 10 years from now?