Retired Financial Advisor and now Industry Consultant. Realize the difference b/w trades & investments. "You miss 100% of the shots you never take in life " "Failing to Prepare is Preparing to Fail."
I am an adrenalin junkie who has combined love of technology, research and data analysis into a new passion for investing in the stock market. Position trader. I follow both fundamentals and technicals to make informed investment decisions.
Penn State Econ major~Scholar of Behavioral Finance & 30yr mkt trader~Proponent of the notion that psychology & emotion recurrently contest the efficient market hypothesis*DISCLAIMER:NEVER trade any security based on my opinions~Live Life~Smile Often
Mostly Biotechs, Swing+Position Trades. Diversify,Patience,Risk Management.Technicals+Fundamentals/Value. I'm also on Twitter. *Disclaimer: Your investment/trading decisions are solely your own responsibility.AlwaysDoYourOwnDD.* HappyTrading!
@ProlongWealth - I believe Wealth Management is to educate the Investor to take control of their Financial Destiny by teaching them Plan, Prolong, Protect Investments. Remember capital preservation is a must, never trade a stock without a stop loss.
I play technical & momentum swing plays & BOs with options. I always look for a great short squeeze. I am NOT smarter than you. This is an inside joke only.
Model S owner. Model X on order. Both paid for by TSLA calls from $40.00 and higher.
Join our Free service Go to www.stockreversals.com to sign up-- to get our Weekend Editions- Our 8-12 best ideas weekly. Also our Free Business Disruptor Reports and more! Premium service see URL link below 4 market smashing trading
im 35. used to b stockbroker. have dversified portfolio, of all timeframes, disciplines, sectors & markets. intra-day, i play textbook & higest-quality technical & fundamental set-ups. i look for 3:1 Risk/Reward. stocks $10+, 500k+ daily volume.
I construct charts to help people capitalize on the excess fear and greed of global investors.
My goal: provide research to help investors enlarge their portfolios regardless of market direction. My approach - TBNM or Tops, Bottoms, No Middles