I use tight stops, which I adjust daily. I let winners run, but take half off when my goals hit. I only trade from my watch list and if technicals are right. I try to avoid buying when overbought or outside channel.
I've learned the hard way...
B.S. in Economics. Wharton School of Business. University of Pennsylvania. I use an extreme focus strategy. Up to 100% of portfolio per position. Eye on Technical, Fundamental, Momentum. Wont trade position if I don't like it In multiple time frames.
Yield investing , Options and Canadian Natural Resources.
A migrating bird in rich resource countries & 8 investing rules !
Always consult your broker for any investment decision. All opinions are intended for educational purposes only.
S, L = 15 and 60 week moving averages. Buy if a) P>S>L AND b) Sâ€™, Sâ€™â€™, Lâ€™, Lâ€™â€™ all >0. Define EXIT=(S+L)/2. Sell if c) P<=EXIT OR d) Sâ€™+Lâ€™<0 OR e) $ loss limit reached. Note: condition (d) ensures that EXIT never declines.