Thanks for going through
'some of posts'. Please tell me if you have gathered following details form these posts:
- Have you read my trade profile describe in one of these posts?
- Have I talked about RISK MANAGEMENT in any of posts or not ?
- What limit I have set for my stop-loss?
- How to calculate such stop-loss?
- Where I have said what to HOPE, when to PRAY and when to PANIC?
Finally from your expertise of knowledge kindly provide me a strategy where...
1) I dont have to invest cash to trade
2) I can use my equity as collateral
3) I dont have to sit before the computer during trading hours
4) 3-4% consistent monthly return on the equity-collateral used
From the first post , I have never said selling option is not risky, infact I have taken every opportunity to remind to the few who are interested, that it is indeed risky, UNLESS proper risk management is in place.
Capricon, I have respect for your but kindly do not use statement like
"no one seems to have the slightest idea how to manage the trade". If you are not able to find my risk management method, I will find the post and show to you!!
Further, I have never recommended this strategy to anyone , and always insisted to understand the risk involved.