EquiStar's portfolios use a fundamental, bottom-up research approach. 12-years market experience.
**posts are not a recommendation to buy or sell any particular security or any endorsement to do so there of**
MBA, Entrepreneur, Protection of Capital including Profits is Priority #1. Favorite Strategy is 90%+ Probability of Success Weekly Option Credit Spread Iron Condors involving liquid underlying like AAPL, AMZN, GOOG, SPY, GLD, etc.
University of Chicago MBA, fundamental investor that understands and utilizes technical entry and exits to add value. Specializing in Energy Sector, Value Strategies, Hedge Fund Long/Short Equity Strategies.