Nothing fancy. No calls here. Just buying shares of great companies when I think they’re temporarily mispriced. Have done this with many others with same results. I also have a call options sandbox and a foundation of S&P index, bonds and cash. Not smarter than anyone. Just plenty of liquidity and discipline. Wait and buy fear…wait again and trim/sell strength, repeat. Post COVID, it’s been basically that easy. My returns have been nearly 2x the index over the last 6 years with this strategy
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