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Began his investment career in 1981, first as a Floor Trader and then as an Investment Advisor for a major securities firm. During that time he acquired several securities and options licenses and became registered as a Commodity Trading Advisor (CTA). He also co-founded a venture capital organization that helped finance and commercialize a number of new technologies over several years, then managed private money. Since the beginning of his 33+ years of investing, he developed his own style of technical analysis by focusing on ratio analysis and money management techniques.
Bonds, Commodities, ETFs, Energy stocks, Foreign stocks, Forex, Gold, Options, Stocks - long, Stocks - short, Tech stocks
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Identifying the strongest performing investments. Finding high probability, low risk positions. Entering positions near significant turning points. Tight stop placement, minimizing risk. Forecasting probable targets in advance. Providing market and sector analysis. Easy to understand, step-by-step investing
approach. Our style of analysis is based on many years of research and observations that developed our understanding of how the market operates. Our timeframe is primarily short and medium term, however, we also analyze the long term as it relates to the shorter timeframes. Our trading positions can last anywhere from a week to three months, but if you are a longer term investor, you will find enough guidance provided to help you determine whether or not to stay in a portion of your position longer. We believe in investing strategically into the strongest performing sectors and taking advantage of the investment rotation that takes place between the sectors, particularly at the various stages of the business cycle, when they can be identified. Our trading style might be best described as “swing trading”.Money management aspects are implemented by utilizing index and sector ETF’s for diversification and liquidity. Controlling losses and protecting gains are accomplished by identifying market entries that allow close strategic placement of stop-loss orders, determined by analyzing all time frames with numerous analytical methods, against our outlook for relative markets. An important part of this is identifying the strongest asset class to invest in, or alternatively, the weakest to sell short in order to maximize potential gains. It is important to be aware that occasional small losses can occur during positioning as a result of volatility, whipsaws or trend extensions.Maintaining emotional control means one has to be dubious of TV and published media and emotional opinions, conspiracy theories, as well as investment letter writers using ‘singular’ analytical styles such as Elliott Wave theory or Cycle analysis. While these expressions do have their usefulness, too many times they manipulate en masse investor psychology that results in a wake of carnage among those who followed them complacently. We prefer to ignore the noise and make note of events and policy around the world that support our analysis.
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