Expense Ratio Compounding: 0.03% vs 0.5% Over 30 Years

Expense Ratio Compounding: 0.03% vs 0.5% Over 30 Years

A 0.47 percentage-point fee gap means 6.97% net versus 6.50% net on a 7.00% gross-return assumption.With $1,500 invested monthly for 30 years, total contributions reach $540,000 and the projected ending balance is roughly $1.74 million at 0.03% versus $1.60 million at 0.50%.The spread is about $143,000, or roughly 8% of the lower-fee ending balance, before taxes and slippage.As of Apr. 15, 2026, VOO traded near $640.44 with a 1.11% dividend yield and a 27....

April 25, 2026
TQQQ’s 5-Year Drawdown and Volatility Breakdown: Where 3x Lagged 2x

TQQQ’s 5-Year Drawdown and Volatility Breakdown: Where 3x Lagged 2x

As of 2026-04-21, TQQQ’s five-year total return was 120.40%, with a CAGR of 16.57%.As of 2026-03-31, TQQQ’s five-year maximum drawdown was 81.65%, versus 35.12% for QQQ, or 2.33x deeper.Five-year annualized monthly volatility came in at 61.28% for TQQQ, 20.23% for QQQ, and 40.61% for QLD.Over the same five-year window, QLD outpaced TQQQ with a 137.48% total return and an 18.77% CAGR.Dividend yield was roughly 0.53% for TQQQ, 0.15% for QLD, and 0....

April 25, 2026
QQQ vs SPY 10-Year Regression: Tech Concentration vs Diversification

QQQ vs SPY 10-Year Regression: Tech Concentration vs Diversification

QQQ sits at $651.42 with a 1-year return of +44.0%, while SPY sits at $708.45 with a 1-year return of +33.8%.The 3-year cumulative gap is 30.2 percentage points: QQQ at +108.0% versus SPY at +77.8%.The 5-year cumulative gap is 15.4 percentage points: QQQ at +98.1% versus SPY at +82.7%.SPY still pays more income, with a 1.04% dividend yield versus QQQ at 0.43%, or 2.4 times as much cash yield.On an implied 5-year CAGR basis, QQQ is roughly 14....

April 24, 2026
TQQQ Five-Year Drawdown and Volatility Decomposition: When 3x Trails 2x

TQQQ Five-Year Drawdown and Volatility Decomposition: When 3x Trails 2x

As of 2026-04-21, TQQQ’s 5-year total return was 120.40%, with a CAGR of 16.57%.As of 2026-03-31, TQQQ’s 5-year maximum drawdown was 81.65%, compared with 35.12% for QQQ.5-year annualized monthly volatility was 61.28% for TQQQ, 20.23% for QQQ, and 40.61% for QLD.Over the same 5-year window, QLD outperformed TQQQ with a total return of 137.48% and a CAGR of 18.77%.Dividend yield sat at 0.53% for TQQQ, 0.15% for QLD, and 0.43% for QQQ....

April 24, 2026
VOO DCA After 12 Months: Real Returns, Mistakes, and SCHD Contrast

VOO DCA After 12 Months: Real Returns, Mistakes, and SCHD Contrast

VOO sits at $651.54 with a 1-year return of +36.3%, a 3-year cumulative return of +79.0%, a 5-year cumulative return of +85.0%, and a dividend yield of 1.09%.SCHD sits at $31.03 with a 1-year return of +26.8%, a 3-year cumulative return of +41.5%, a 5-year cumulative return of +49.8%, and a dividend yield of 3.4%.Across the provided windows, VOO beat SCHD by 9.5 percentage points over 1 year, 37.5 points over 3 years, and 35....

April 22, 2026