DrJoe-
A couple more questions, if you don’t mind:
- In considering the DLS strategy you mentioned rough periods as you were transitioning between calls and puts. Using ratios of <1 for sold short term options vs. leaps, calls give a bullish bias and using puts would give a bearish bias. Would a mix of puts and calls provide a more neutral bias? What are the drawbacks of this mix?
- In either the DLS or the CSP_CC what are your thoughts on expanding beyond general equities? For example, I am concerned about the macro economic conditions around the world and am wondering if it might make sense to add GLD and/or a commodity ETF to the total portfolio mix.
Thanks and best regards,
-Tom
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