2008我是逃顶成功的,我为何会跑掉?因为在2000我手上公司的stock option,一路狂跌,从70多到十几块,我少赚了非常大,后悔极了。到2008看到股市特象2008,我就卖掉大部分mutual,留了一点点vanguard health care mutual fund。后来股市到了6000多点,我逐步买进material,energy mutual fund,再做sector rotation。转sector etf,比如vnc,xlv,etc。一直hold到2011年年底。好像是double了account,或更多,记不太清楚了。
在2011年底我买进vanguard 的REIT,和BAC,C,当然还有房子,到2012 MAY 出了REIT。丛2011,Nov.我学做DT,ST做得不太好,老是接飞刀,不过我用卖cover call,加买等做法,做到不太输,或说小输。
don't wanna to say too much when u played option this big until u get this feeling now, i would say giving it up, and try something more stable. the success rate for option players is very low, and very very few players could eventual be big winner. that's the main reason major IBs are option writers.
try swing trade or future trading if you like. lower your target, and try to make money stable and steady. good luck
I also realized this point recent years. However, my stock experience is much much less than yours and I realized short term trading is not right for me :)