Yep, I think I have reached the point where I don’t see that the juice is worth the squeeze. I might be giving up some upside potential but there are so many headwinds and risks when compared to the risk free return, that I am pulling the trigger on selling my most aggressive investments.
With the NASDAQ turning positive, I am out. Just sold 100% of my QLD holdings - about 1/3 of my self-directed investments.
Edit: Just sold all my UPRO too - so now more than half cash.