My Approach Risk management = Job #1.Asymmetric reward vs risk.Best ideas, from renowned investors.Institutional quality stocks only.Leading names in confirmed uptrends.(where’s the big $ investing?)Stocks with strong earnings growth potential (fundamentals) and positive price action (technicals). Industry agnostic. What’s working?Boring. Rules-based.Systematic approach to trade selection, position sizing and portfolio exposure.Utilize technical analysis to identify favorable chart patterns and entry/exit points (timing).Concrete entry + exit strategies, at outset.Active trade management.Cut losses quickly when wrong.Respect stops.No sacred cows.Respect market cycles – up to 100% cash.Continuously adapt to changing market conditions.Concentrated long positions.