Quote from qll:
My account size could not be going up any more in the past 5 months, after it hits $1M range. I either gain on stocks or lose on futures, or the other way. I usually take 20% of my portofolio on one stock, and I have 7-8 stocks on margin. I have found it is kind of difficult to get in and out of my holdings.
What is the bottleneck of your account size? How did you manage to pass it?