About
While Trading is speculative, Risk Management isn't.
The only Aspect of Trading which can be controlled in the future is your Risk after entering the Market.
4/5 of my Portfolio goes into Short to Mid-Term Positions.
The other 20% is for Long-Term Investments crossing Macro Economic Cycles.
My Trading Style is based on Human Nature and focuses on the Effect of Disposition and Loss Aversion.
Feel free to contact me!