Buy 110 shares a week for the next 11 weeks.
at a Risk of a 25% loss.. That means S&P could increase 8.3% from today till Feb 2014.. Making this ETF about $13 holding about 1380 shares at near first week in Feb..
If it can pop 60% because same reason as it 2011? perhaps rake a $10,500.
or perhaps running up to the debt ceiling fight the market won't like it..Perhaps if we get lucky along the way put in some stops? Humm???
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