EP113:你拿槓桿去放大的,是優勢還是脆弱? episode artwork

EPISODE · May 12, 2026 · 17 MIN

EP113:你拿槓桿去放大的,是優勢還是脆弱?

from Fireman的FIRE人生 · host Chris

最近看到科科教授分享長期持有 TSLL 的經驗,我覺得這是一個很好的投資案例。 很多人看好特斯拉、台股、美股科技股,就會自然想到:如果方向看對,為什麼不直接買兩倍? 但槓桿 ETF 麻煩的地方在於,它追的是每日報酬倍數,長期結果不會單純乘以二。中間只要經過大幅震盪,就可能出現正股回來、槓桿 ETF 卻回不去的狀況。 這集聊的是: 1. TSLL 案例為什麼值得投資人借鏡 2. 槓桿 ETF 的每日報酬與波動損耗 3. 為什麼資產漲太快,會讓人誤判自己的投資能力 4. 後見之明與漂亮回測最容易忽略的地方 5. 槓桿真正適合的,是有交易系統與邊界感的人 6. CLEC 這類配置方式,重點其實在系統,而不只在正 2 -- Hosting provided by SoundOn

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EP113:你拿槓桿去放大的,是優勢還是脆弱?

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