My Robinhood account balance YTD

    I have an options-trading strategy that has earned greater than 50% YTD. Calculating the exact returns is difficult, because I've deposited more money into the account after gaining confidence in my strategy. However, for simplicity, I will simply go with what Robinhood says, which is significantly better than the S&P500.

    I owe much of my returns to my investment strategy. At a high-level, my approach is as follows:

    • Use an LLM to query for fundamentally strong stocks
    • Use an LLM to analyze stocks
    • Pick 1-3 winners
    • Trade long-dated (1+ years) ATM options
    • Double down, slowly over time

    I describe the entire process in this article. The core parts that I owe my success to are using LLMs to help me sort and analyze financial data. I built my own free platform, NexusTrade, to make this easy.

    I would love to get some feedback from the crowd on what y'all think of this approach. Personally, I'm quite proud of this approach – I'm beating the market and still have nearly $30k in buying power. But maybe you guys might have a different perspective, and I'd love to hear it!

    My options trading strategy that has more than doubled the S&P500
    byu/NextgenAITrading inoptions



    Posted by NextgenAITrading

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