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Edward Newcomb MBA (E_Newcomb_MBA)

Joined: 12/05/17


More Information

Keep risk at -(7)%, to -(10)%, not a stop (use alerts) - but a possible tolerance - sell if needed. While taking profit at +20% - giving an approximate 3:1 to 2:1 profit/loss ratio. Get rid of everything at -(7)% to -(10)% and keep the inventory that goes up to +20%. Ceteris Paribus.

Trading Experience:    5 Years +
Trader Type:    Swing Trader
Markets Traded:    Stocks, Indices, Options, Bonds
Skill Level:    Expert
Preferred Approach:    Momentum
 

Software/Technical

Indicators Used:    %Chg, Custom 4 Lines, Weighted, Price Volume Trend, Volatility, Volatility
Preferred Trading Time Frame:    5 hours, daily, weekly, monthly
 

Education

Favorite Trading Books:    Econ 101, 102, 202, 301, 302, 401, 402, 501, 502, 601, 602, 701, 702
Favorite Trading Magazines:    Investors Business Daily, Investing.com, BarChart, WSJ, Investopedia,