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Poll: NTSD vs WLDU - which would you choose to hold for the next 10 years?
Investor summaryNeutral
The post compares NTSD and WLDU for a 10-year hold, highlighting NTSD's lower fees and volatility versus WLDU's higher return potential but volatility drag.
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NTSD
Roughly 90% U.S. stocks + 60% international stocks using futures, resulting in about 150% total equity exposure.
Leverage is moderate (1.5x).
Expense ratio around 0.35%.
More diversified and generally less volatile than a 2x leveraged ETF.
WLDU
Targets 2× the DAILY return of VT.
Daily-reset leverage creates path dependency and volatility drag over time.
Expense ratio around 0.75%.
Higher volatility - potential for deeper drawdowns but also higher returns.
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