Karen the Supertrader - TastyTrade Hybrid Experiment

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Points well taken, Maverick. I go to great lengths to manage risks. It is a nonstop pursuit. Can you elaborate more on risk adjusted returns? Do you think that this strategy is too risky? Is so, what are your suggestions to manage the risks? What type of strategies do you employ? I look forward to your thoughts.

A GTC order on highly convexity exposed options is NOT managing risk. One gap down on any kind of black swan/war declaration/natural disaster/etc. and you're dead, completely dead.

I guess you're just going to have to learn that the hard way here.
 
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