How I retired at 31 selling portfolio secured puts.


Not cash secured puts.
Not covered calls.
Not spreads.
This exact system.
Step 1. Evaluate the macro first.
Overall market valuation. Economic picture. PE ratio. Interest rates. Ect...
Step 2. Find a quality company at a good price.
EPS growing. Moat. Pricing power.
Trading at or below intrinsic value.
Stock below the EPS growth line.
Step 3. Sell 1-2 year portfolio secured put.
Not cash secured.
10% below an already undervalued price.
Base portfolio is the collateral.
Zero margin interest. Zero cash sitting idle. Ratios & risk managed to be fine in 50% crash.
Step 4. Deploy the premium. Nothing sits idle.
Buy shares/calls of the same company or in the core base portfolio.
Every dollar working.
I started making $5 my first month 10 years ago.
Now $30k+ per month average.
Same system.
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