Are you more into longer term (medium and long term) trading or more into daytrading and active trading?

Or how are your portfolios composed?


So 30% of the portfolio will be long term where I am targeting 3+ years (time test). The rest is more medium/short term.

I have both a long-term portfolio and an options portfolio. In the option portfolio, I list Options with expiration from 1 week to one month, and collect Credit that way. In an emergency, I get assigned and collect Credit on the call side, and hold the stock until it arrives and I am assigned. 👍

Long-term and sometimes medium-term

Timeline Tracker Overview