I recall a indication that the prospects of a successful 30 year 4% SWR was at greatest risk if you hadn't achieved a 2.5% annualised real in the first 15 years i.e. a deeper inspection of earlier years sequence of returns risk.
But I can't recall where that arose from. Might have been Bill Bengen - but the Duck (duckgo) doesn't quack.
Anyone else heard/recall such and have the source?
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15 year 2.5% for likely 4% SWR success
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- Lemon Quarter
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