Investing in equities in US and Canadian exchanges while adjusting for risk and volatility. Focus is primarily on fundamentals and Industry sector specific shifts. Carefully watching flow of funds out of China. What if GDP growth there is much lower?
-Strategy - 50/50 CANSLIM influenced/what i call take the money and run(sell resistance, or before).
-Daily struggle with "FOMO" (greed) but discipline is everything. Cash is a position. -Always take a step back