Andre Mahardika
Semarang, Central Java, Indonesia
age 26 years, I worked in the fields of capital markets has been 6 years. I create this blog purpose is to help the customer transactions that are looking for the solution of the downturn portfolio plus minus a portfolio. I was happy to help you using my trading strategy "Vision and Mission: 1. create a portfolio plus 2. It will not be eroded teralu in when the market fell out of control. 3. There will be profit taking first at the time the stock market is still in bullish conditions (up) 4. Knowing When the condition is Ideal to Buy and Sell with potentially less risk than benefit (20%: 80%) "
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Analyst for JCI And recomendation stock exchange indonesia or MSCI
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The maximum loss of the bear spread strategy is reached when the stock rests at or above the strike price 1 during the time of expiration. For those with call options, this maximum loss will be equal to the difference between strike price 1 and strike price 2, minus the initial credit. For those with put options, maximum loss is equal to the initial debit.