The 2% Solution is a stock trading strategy that is based on not risking more than 2% of your trading capital. It is also based on achieving a 2% weekly compounded gain in your stock portfolio.
I’ve got 25 years writing about the capital markets under my belt. And even more important to you, a 16-year track record at picking stocks. As of December 31, 2009 my Jubak’s Picks portfolio has returned 282% since inception in May 1997.
TickerTank.com founder. My primary source of income is Options trading. Complimenting logical assumptions with proper strategy is my method of trading. I track weighted average portfolio probability of success regularly...P&L far less often.