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.
Not in finance or trader professionally. Ideas and opinions are never advice. In long positions, until bear market and it is a bear. Primarily use Matlab for my own research/analysis (systems theory) and common trade platforms/TA daily.