Hey all,
I've been aggressively investing in LC....aiming for 19% or better, focusing on C,D,E,F and G's. My NAR is showing 8-10% return. For my re-invest, should I continue to pursue all riskier notes or would bringing in some A's and B's be the wiser move? My account is slated for long term...no need for immediate distributions....also, I've been mainly going for 36 month notes. Any advice is appreciated.
I'd personally tone down the risk, but I tend to be more risk averse than most on this forum. Maybe because I've spent too much time seeing how much pain bad decisions made years before can cause all at once.
What are the filters you recommend?