70/30 mix of fun volatility trading vs boring buy and hold. Portfolio is a blend of 10% bonds, 20% broad index 3x ETFs and 70% Volatility which generally utilizes a managed short-VIX strategy using ETFs and options.
YTD as of 5/19/2017: +35.4%.
Volatility investor and writer focusing mainly on UVXY, SVXY, and XIV.
I have a passion for finance and education. Feel free to contact me on Seeking Alpha with any volatility questions. Always happy to engage and help.
I am an market maker and am currently The Director of Education for Option Pit Mentoring. A full service option education company for every level of option trader. Our concentration is on understanding volatility and managing risk.
Author, Market Technician at miAnalysis, Inc. I started my career in markets in 1999 and analyze stocks, ETFs, bonds, forex and commodities. Comments are not recommendations. Lucky husband, proud father. Future Ironman.