Eurozone on the Brink, Weekly Options Crushes It
By: Matthew Whiz Buckley
In today’s Friday Market Wrap-up, Matthew ‘Whiz’ Buckley, WCI’s Chief Investment Strategist discusses the market lurched back and forth this week on the Fed meeting and fears that Cyprus could exit the Euro. With the wide swings of the risk on/off days this week, the Weekly Options model portfolio returned $3500 on $10,000 in risk, a 35% return.
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