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In this episode of the Modern Stock & Option Trading Show, Russ describes the strategy to best recover one’s portfolio. If you have ever wondered, is there a way to possibly recover your next egg from down 30%-40% fairly quickly while further defining the downside risk, Russ describes how others do that. Most importantly, you can define any further draw down risk and you can calculate this maximum risk up front before ever entering the trade. The key is keep the risk level to a very low percentage (say 3%-5% of your portfolio) with an uncapped upside.
Don’t forget to subscribe to the show!
4.6
9696 ratings
In this episode of the Modern Stock & Option Trading Show, Russ describes the strategy to best recover one’s portfolio. If you have ever wondered, is there a way to possibly recover your next egg from down 30%-40% fairly quickly while further defining the downside risk, Russ describes how others do that. Most importantly, you can define any further draw down risk and you can calculate this maximum risk up front before ever entering the trade. The key is keep the risk level to a very low percentage (say 3%-5% of your portfolio) with an uncapped upside.
Don’t forget to subscribe to the show!
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