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Russ discusses how to use a combination of options strategies to simulate the risk & return graph of a stock.
He also discusses the wrinkle he adds to the core strategy to cut off the downside below a certain percentage.
He also gives an example.
You can use this strategy to simulate multiple stocks as well in a portfolio.
Don’t Forget to subscribe to the show!
By Russ Mathews4.6
9696 ratings
Russ discusses how to use a combination of options strategies to simulate the risk & return graph of a stock.
He also discusses the wrinkle he adds to the core strategy to cut off the downside below a certain percentage.
He also gives an example.
You can use this strategy to simulate multiple stocks as well in a portfolio.
Don’t Forget to subscribe to the show!

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