As we leave Q4 earnings season and approach all-time highs, the market is searching for direction. and with what's on the horizon for march - sequester and budget fight - the market is due for a serious pullback and return of volatility.
As the market meanders, the Weekly Option model portfolio has been crushing it, 28% gain in the past 2 weeks. A total of $5600 in gains on $20,000 in risk in 2 weeks, and the portfolio is looking to capture a gain of $3,000 this week alone, on only $10,000 of risk. a 30% return in a week.
That's discipline. That