Trading 1256 contracts (for tax reasons)
Return stacking (getting the risk-free rate PLUS the return from the trade)
Portfolio margining (for a lot of reasons)
I am a new money manager and I've seen experienced money managers deploy the tactics above for better overall performance. What other tactics or techniques am I missing?
Return stacking (getting the risk-free rate PLUS the return from the trade)
Portfolio margining (for a lot of reasons)
I am a new money manager and I've seen experienced money managers deploy the tactics above for better overall performance. What other tactics or techniques am I missing?