Investment Strategy - The company employs a contrarian investment style, focusing on high-risk, illiquid options and shares [1] - The investment portfolio is split approximately 50%-50% between shares and call options [1] - The typical investment timeframe ranges from 3 to 24 months [1] Stock Selection Criteria - The company targets stocks that have recently experienced a sell-off due to non-recurrent events, particularly when insiders are buying shares at the new lower price [1] - Fundamental analysis is utilized to assess the health of companies, including their leverage and financial ratios compared to sector and industry averages [1] - Professional background checks are conducted on insiders who purchased shares after the sell-off [1] Technical Analysis - Technical analysis is employed to optimize entry and exit points for positions, using multicolor lines for support and resistance levels on weekly charts [1] - Trend lines are drawn in multicolor patterns to aid in analysis [1]
Nvidia: I Didn't Think I Could Get More Bullish - Then Q2 Happened