im 36. 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.
Live in SF and work in SF. I have traded futures, options and securities. Mostly holding KNDI, NQ , JKS, TSL and FEYE in my portfolio. Looking into FUEL after the big drop. I like buying stocks that are beaten down for maximum gain.
The market is a bloodsucker, so adopt a system you are comfortable with and leave emotions at the door. I watch price and volume and aim for low risk entries. I don't pick exact tops/bottoms, I just want the cut in-between.