If you use 3,12 you will buy a lot soon and sell a lot soon. Maybe you want to use 3,12 at the sell side and 10,10 at the buy side. I think Tom is using 10,10 Buy and 0,10 Sell.
One thing is that SLV could be at an all time high, you never know. If you buy in that scenario you need a lot of cash to continue buying.
You could also start with a LD AIM program, limiting the number of buys and sells.
Or even a NoDown AIM program if you think SLV will tank.
At the buy side you could also use MACRO AIM to postpone buying.
A lot of different strategies all described in the Q&A forum.
Register for free to join our community of investors and share your ideas. You will also get access to streaming quotes, interactive charts, trades, portfolio, live options flow and more tools.