CM PRO PORTFOLIO
DIRECTIONAL ALLOCATION %
As of October 13, 2017
51.60% ytd return for our cm pro portfolio
In our CM Pro Portfolio we trade call and put options on US equities and ETFs.
Our trading model allows us to make money when stocks go up AND when they go down. Why trade only one side of the market?
We allocate 3% of our trading portfolio to each option trade.
The leverage on these trades usually ranges from 10x to 20x, depending on the price and expiry date of the option.
A trade can last a few days, a few weeks, or even a few months. We enter and exit trades at all times during the trading day - there is no fixed entry time or exit time for any trade.
Members receive real-time trade alerts via email (and Twitter) as soon as we enter or exit a trade.
Click on the monthly tabs in the navigation bar to review our trade results for each month.