Some investors think the Stars model is just about rebalancing. But it’s far more powerful than that.

Stars combines strategic timing, disciplined holding, and intelligent allocation to deliver consistent, high-performing results. Here’s what sets it apart:

1️⃣ Annual rebalancing at year-end.
2️⃣ Long-term buy-and-hold (8 years) = near 100% accuracy and near-zero real risk.
3️⃣ Zero risk means you can allocate more to TQQQ for greater gains.
4️⃣ Uses just two elite ETFs — TQQQ and SPY — with minimal tax impact (approx. 2.5%/yr).
5️⃣ Increases TQQQ exposure in down years to maximize recovery potential.
6️⃣ Smartly avoids rebalancing in the year after market bottoms.
7️⃣ Outperforms other ETF strategies by up to 10 percentage points.
8️⃣ Profits from TQQQ volatility — not market direction.
9️⃣ Creates major opportunity cost if you’re not in the best version.

⚡ In short: Stars isn’t just rebalancing. It’s a precision-built system designed for long-term performance and tax efficiency.

📘 Learn more in Earn Twice the S&P: