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.
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.
I'm in it to make money. Not a bear, not a bull. More fun in bear plays, more money more often in bull plays. The news is interesting, but never trade it. Price is funny and highly deceptive. Patience is my weakness - I'm better when I have it.