My watch list contains 300+ 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 BDC/LP/REIT plays may be longer.
Invest in stocks that have high earnings beat or miss and hold them for a short term to several months using call or put options. Also use covered calls to make income on my current holdings. I also invest in biotech stocks.
Past 60. Semi-retired. Lifetime investor. Trading options since I was 20. Made avg 100%/yr on pers acct last 3 yrs, grew pension 25%+. Prefer high tech, news value stocks. My style is "patient investing" - buy low, wait for news/growth, sell high.