Moscow-based bi-lingual blogger, focused on Global/Macro investing and asset allocation. I started as a Russian mutual fund investor in 1999, went for an ETF portfolio late in 2007. Survived the 2008/9 meltdown.
Trading since 1982, started as a hobby then became an obsession,
Method using small stops, precision entry and strict discipline. Risk/ Reward 1:3 Win Ratio : 80% -Full time
trading for a unique lifestyle-
Providing option trade ideas for the avid trader based on years of technical analysis experience. I look for explosive moves in big beta stocks that can last for few minutes or a few days and use weekly options only.
Professional Swing Traders in widely followed Risks . We determine mid term market direction using quantitative relationships among Debts, FX and Equity combining solid academic education, deep macro knowledge & business experience