This time we'll be covering Jason Bond's swing trade strategy. Jason's strategy is characterized by shrewd, calculating pragmatism, prudent restraint, confident and consistent adherence to basic principles, and an orientation towards realistic goals and expectations. In other words, Jason Bond, unlike most swing traders, doesn't excitedly charge into a stock and he also doesn't hold on to a position hoping it will turn into a triple-bagger. Jason Bond has strict parameters that a stock should meet before even being considered for a trade: liquid, nano, micro, and small cap stocks that have a market cap under $2 billion, a price below $10 and a beta of 1 or higher and that are showing key indicators such as being in oversold status. Based on how well they meet this criteria as well as on other indicators and research, Jason will then enter in and take up a position in the stock and hold it for 1-4 days. He looks for realistic and respectable 5-10% gains and when he achieves them he punches out and moves on to the next trade. This is his core strategy and it's what makes Jason Bond Picks different from any other stock picking membership out there.
Read more about Jason Bond's strategy here in our new full review.
Read more about Jason Bond's strategy here in our new full review.