Individual investor. Long term investor. Never looked into technical and fundamental analysis. Simply watch the news, watch what becomes cheap and make the judgment if the company will still exist in the future. This strategy has worked very well for me, running about in line with annualized market returns.
Currently holding BP, KO, WFC, and SPY. Not looking to add new positions soon.
SkyTides focuses on deep due diligence research of over-hyped stocks, outright stock frauds and public company individuals of questionable character. We use financial analytics, market research, expert opinions, accounting review, litigation review and other investigative methods, to make our case.
My name is Payman Winborn. Upon graduation from college in 1999 I founded a company that distributed computer hardware. Although this was a profitable business, I did not want to focus all my resources on one avenue of success, so I looked to diversify my interests. I explored real estate and finance as possible alternative businesses and discovered an interest and passion in futures trading. This is what I ultimately choose as a second source of income.
Initially, I imagined that day trading would be the ideal profession: no customers or staff, no inventory or rent and the possibility of unlimited income. And, more importantly, it presented me with the opportunity to work anywhere....from the privacy of my home or from the balcony of a hotel room overlooking the Pacific Ocean.
Unfortunately, I knew little about the pitfalls of day trading for a living. To begin with, I spent countless hours reading books, studying charts and conducting research in an effort to become a profitable trader. Six years later, and after the loss of several hundred thousand dollars, my efforts finally resulted in the development of a highly profitable strategy.
This strategy is primarily based on technical analysis and was developed for ES E-Mini S&P 500 Futures contracts from CME Group but it also works in many other financial instruments such as Stocks (NYSE), Bonds, Currencies(Forex Spot), Commodities (Gold and Crude Oil From CME GROUP,Globex,NYMEX, CBOT,Brent Crud Oil From ICE Global Markets), Options, Global Indices and CFD’s with similar high accuracy.
In retrospect, I understand that the biggest barrier to my success was the fact that I tried to learn everything by myself. An experienced mentor could have helped me avoid that painful learning experience....and saved me a significant amount of money as well as many years of frustration.
Today I am an active, and profitable, trader. As a token of appreciation for my success, I now share my tools and experience with other day traders. I believe that my knowledge and skill can help others become successful traders and, in the summer of 2010, I began to publish my realtime market signals and daily results online in order to demonstrate the accuracy of my trading strategy.
Relatively new to "active" personal investing. Focus is on accumulating large cap, quality stocks with a combination of both high yield and growth prospects.
Currently own: AAPL. SN, KORS, ACAS, DIS, V
Watching: SBUX, UA, NKE, LULU, DFS, DPS, MA, COP, EOG, PNRA, CMG, FLT, EXR
I’m a swing trader of momentum stocks with a holding period of anywhere from a few hours to a few months. I run a number of screens to locate the strongest/weakest stocks out there, using technical analysis to determine my entries and exits. Trying to calculate the intrinsic value of stocks in my opinion is out of date and there is wisdom in crowds.I've developed a market timing system that determines when it's best to be long, short or on the sidelines, using a number of proprietary indicators based on many time frames. I believe that to have longevity in this field one must find ways to calm the mind and trade from a detached point of view. Emotionless trading will allow you to respond to what's going on right now in the markets, rather than reacting to daily fluctuations.View my personal blog http://zentrader.ca/
I am a swing trader and position trader. My bread and butter are the emerging markets and biotech. My forte are small cap, micro cap, and undervalued companies. The bulk of my investments are speculative for the huge risk/reward potentials, mainly small/micro cap biotech companies. The remainder of my investments are Latin American equities and real estate and various other emerging market equities. Short term investing for explosive growth/upside to fund for longer term investing that will provide steady growth/reinvesting over the years. I commute back and forth from Buenos Aires, Argentina where my wife and kids live, to Washington DC, USA, where I work. Investing long term for my new born princess, Angelique, and my beautiful family who are my heart and soul <3
I am an active option and etf trader. I do have a real day job which pays me decently, but I enjoy playing the markets.
I normally trade options which are 3 to 6 months in maturities and use strategies such as synthetic long and synthetic shorts.
I am the pricipal and Chief Investment Officer of a Registered Investment Advisory firm in Marin County, California. I utilize a Core Satellite strategy with four different risk models.
Core Satellite Portfolio Management
Core/satellite portfolio management is a strategy which builds the portfolio using a large “core” group of investments with a complement of smaller “satellite” positions. SWM uses a combination of dividend paying stocks, no load mutual funds, and exchange traded funds to build the core. The core or foundation of each portfolio is strategically designed for long term investment, with relatively low turnover. The satellite positions are smaller holdings that tend to be shorter term investments with higher volatility than its core holdings. Together, the strategies seek to deliver consistent performance, diversification, and a portfolio with several non-correlating assets.