Im a big fan of your ability to analyze a balnce sheet and come up with some fair value/margin of safety...
Its the leverage of up 7x with no position sizing/risk management to put up 100 percent that is a big red flag...
Im not being argumentitive,but you havent answered how your stocks performed,with the risk/reward metrics to compare to your short vol portfolio.
If they underperformed the S&P or some correlated benchmark, then what exactly is your edge?? Leverage??? Thats most likely where your sweet return is coming from
There may be a far better (risk adjusted) way to capitalise on your fundamental analysis....
Of course there are better ways, but this one suits my style and personality. I opened my post by saying that. To me this is more important than optimisation.
Now please don't confuse with charlatans here selling courses, methods, raising funds, YouTube channels or advertising brokerage services. I have nothing to sell whatsoever and never will. I equally don't owe you any answers (surprise surprise). I believe I have shared enough now so please lower your guns...