I go for base hits and I sell a lot of covered calls when I think a stock will consolidate. I leave gains on the table with conservative exit targets and I'm okay with that. I also choose my strategy around what play preserves capital the best.
I haven't finished my plan for the week yet but I know I like semiconductors, Apple, and Amazon. O&G also getting bid. May be time for more GUSH.
Edit - I may not trade much between 10/16 and the election. I expect us to decline sharply somewhere between now and early Dec.
I haven't finished my plan for the week yet but I know I like semiconductors, Apple, and Amazon. O&G also getting bid. May be time for more GUSH.
Edit - I may not trade much between 10/16 and the election. I expect us to decline sharply somewhere between now and early Dec.