Pat,
I apologize if this question has been asked before. I am moving slow thru the Q&A (currently on page 20 moving backward).
I noticed a tweet from a VIP who thank you for profiting over 1M, and he said the RoR is primarily options. I wonder if it's possible to interview this person or you can provide an answer to the following questions:
1-How was risk managed? Cutting losses based on the underlying price failure or a certain % of premium decay?
2-How many weeks until expiration from the breakout date?
3-Did he/she exercised the option and owned the shares if the price/share was decent in relation to the price at expiration? Or just sell the option and move onto something else?
I am considering options as a strategy for the MAXLIST stocks since their prices are in the 300-3000.
Thank you