Tomorrow will close at 9.10 - to coincide with the official opening of the S & PMib - the month of March 2009 stock.
Our first week of operation, without too many bumps, gave us a profit of 71%, the second (the one I presented as "dangerous") a loss of 45% ... always on a capital of 1,000 Euro. Taking a rough summation
we would still have a decent gain (26% in two weeks scarce), a percentage of profits on which any person would not but a hundred signatures!
But the point is this (and maybe it's just from thinking I'm going to do that you can penetrate the wonderful world of options).
The point is that the first week has been "normal" and the second week has been "terrible" in the sense that we were never in the game: we have focused on the fall and instead there was only a continuous rise and vigorous. Yet not only in the week "terrible" We lost a lot less than we earned in the week "normal", but, more importantly, we never risked a single cent more than the amount lost.
But what I mean spectacular highlight is this: if instead we were made to put downward to upward, we would not have won 45%, but perhaps - with a little 'luck - even 450%, ten times much.
So let's put it this way: you play "heads or tails" knowing that when you lose more than 45 wrong guess and when you can earn 450 or even more?
not know about you, but I will play ... fact: I play!
I explain more tomorrow. And Indeed I take this opportunity to give you some news that probably looked forward to: the theoretical Blog started from scratch, and more specifically the tool more "elementary" the wonderful world of derivatives, namely the FIB (and the Mini-Fib). This time I swear that I will make you understand step by step every single movement.
And soon you will realize that these early days were not tiring at all useless ... See you tomorrow
Vincenzo
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