Trading S&P500 Volatility based assets. ETNs tied to VIX and options of VIX futures. Low Risk - Moderate gains expected (5-15% / month)
Less frequent Option contract selling and Theta farming.
May use The Wheel strategy when the markets do not favor the volatility plays & swing trades on stocks ranging days-weeks.
Invest with any amount.
Program shows as high risk only because option trades require margin trading and I don't want to be stopped-out, the intrinsic risk of the program is low/