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Re: Scaling post# 4084

Tuesday, 12/12/2017 2:20:54 PM

Tuesday, December 12, 2017 2:20:54 PM

Post# of 6013
I do this with all my port. I have 75% in 15 large cap high paying dividend stocks as my core. Then I have 10% in 8 stocks in this MJ sector.

Then I use 10% trading options on Blue chips holding about 10 positions usually out of the money with 90-to 120 days till expiration.

The last 5% is on highly speculative stuff! I am very cautious about proper position sizing this is by far the most important factor in risk management.

Happy Trading