Something new is coming to Skool. I post actionable, high-probability trade ideas from our hedge fund and my personal portfolio, but that's 10-20% of the actual work.
The rest is what happens after: Black Swan Hedges, vomma hedges, rolls, defense when your short strike gets breached, and the moment where you either manage the position or it manages you.
Nobody shows that part publicly, so I'm going to.
That's why I'm thinking about launching a fully public OptionsJive Model Short Volatility Portfolio, available to every subscriber 24/7, with every position, every roll, and every adjustment visible when it happens. And I want your broken trades too.
How should I build the OptionsJive Model Portfolio?