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A portfolio which generates ~15 % return per year with low volatility

Is it possible to build a portfolio which  generates ~15% return per year with low volatility?
My answer is yes. And I hope it can last more than 5 years. I think I have figured out how to do this. And I won't bore you with all the BS about what model or assumptions I use. I will simply post my results on the web every quarter. Let you be the judge. There are several reasons I am doing this.

1. I am extremely frustrated with if not downright sick of the financial industry which does not provide any value to their clients but simply enrich themselves.

2. 90% -95% of domestic stock mutual funds underperformed S&P 500 in the past decade. What is the point of paying anybody to invest in stocks if you can just buy S & P 500 index?

3. Individual investors can achieve a reasonable return in the stock market if they do their homework.

The catch:

1. There is a size limit to my method. I can not put a hard number to it. I would just say that a portfolio more than 5 billion dollars probably won't achieve the ~15% return as mentioned. 
2. My method does involve the use of stock options.
3. This is primarily a long strategy. If there is a repeat of 2008-2009 financial market collapse, my method will have a lower return unless I put on a down side protection. However, I will still expect to have a positive return year.
4. There is no guarantee in my method like there is none in life. But it is very likely that my method will work.
5. I don't expect my method will work more than 5 years. Smart people will figure out my method and arbitrage any edge I have.

Disclosure: I have no positions in any stocks mentioned, and no plans to initiate any positions within the next 72 hours.