Heavily leveraged, only taking positions when a large reward:risk bias skew perceived. Exit quickly after the easy money has been made but press the great moves if out-sized returns are probable via statistically (seemingly) improbable continuation.
I play technical momentum swing plays and break outs with options 99% of the time. I always look for a great short squeeze. I'm NOT smarter than you. Inside joke only. Model S owner. Model X on order. Both paid for by TSLA calls from $40 and higher.
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