My watch list contains <150 stocks, and my portfolio contains <100 of them. Typically, my exposure ranges from 80% to 120%. Average hold is six months, but seasonal plays may be shorter, and REIT plays may be longer.
Entrepreneur, Technologist, and a Passionate Trader. Trade both sides of the tape. MS Comp. Sc., Mgmt. Exec. Model portfolio is at 600% profits YTD, see trades at 360tradingview.com. Trades opinions only.
Invest in stocks that have high earnings beat or miss and hold them for a few weeks using call or put options. Use covered calls to make income on my current holdings. I also invest in biotech stocks.My tweets are for educational purposes only.