From $10,000 to over $1.5 million. That's my experience with $AAPL and there is a stock today that over the next 20 years will provide that type of compounding as well. The first goal is to find it - the next goal is to hold it.
My strategy is simple - my tools are easy - and my reason for the podcast was always to just help others understand my mindset. That's the goal of today's podcast. Short term vs. long term - for me long term wins.
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EPISODE SUMMARY
📱 The Desk is coming: Search every stock, every past take, every dip buy and every episode in seconds—so you can stop digging through 30–60 minutes of content every day.
🍎 The $10K-to-$1.5M lesson: My Apple position was built through compounding, buying quality dips and holding a thesis—not chasing every trade or copying someone else’s risk tolerance.
🤖 $NVDA, $APP and the next monster winner: Nvidia is now a Quant Strong Buy, AppLovin is deeply oversold after a huge Alpha Picks run, and the next 10‑bagger is probably hiding in plain sight right now.
⚠️ Use a system when the market gets messy: The 4‑hour algorithm got me out of $IREN before earnings, helps identify re‑entry levels, and keeps emotions out of decisions when sector rotation hits your portfolio.
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