To summarize my strategy: Individual Stocks: Tons of research then Buy Low, Sell High Traditional Index ETFs (VFV, etc): DRIP, Buy more when low, never sell Traditional Index CC ETFs (HDIV, TSPY): DRIP, Buy more when low, never sell High Yield CC ETFs: (DayMax, ISBG): Varies - Use distributions to buy other positions at discounts, possibly trim when at all time highs, DRIP when nothing is on sale or build up cash, but also NEVER fully sell. Individual Stock CC ETF Stocks: Buy Low, Sell High (I will be keeping 25% of my MSTE position through multiple BTC cycles though - In the video I mention selling the entire position, I would only do this if MSTE suddenly sky rocketed to $18 a share, but if it just slowly grinds up over the next few years, then I will just sell off 50-75% in tranches, and hold 25%)