Cotton's "Model Trading Portfolio" is a $200,000 Simulated Portfolio based on aggressively trading Joe Cotton's stock picks for maximum gains. This is a margin account which uses options for additional leverage ( option purchases/sales not to exceed $20,000 or 10% of the total portfolio net value, whichever is greater ) To be considered successful, the portfolio is expected to have returns in excess of 20% per year.ANY PUBLIC REDISTRIBUTION OF ANY OF THE INFORMATION CONTAINED IN COTTON'S "aGGRESSIVE TRADING PORTFOLIO" PUBLICATION IS STRICTLY PROHIBITED.THE STOCKS PURCHASED FOR THE MODEL TRADING PORTFOLIO AND THE TIMING OF PURCHASES AND SALES IS BASED ON THE TECHNICAL ANALYSIS OF STOCK TRENDS AND IS NOT INVESTMENT ADVICE, AND IS IN NO WAY TO BE CONSTRUED AS INVESTMENT ADVICE. FOR INVESTMENT ADVICE CONSULT A REGISTERED INVESTMENT ADVISOR OR CERTIFIED FINANCIAL PLANNER. The 1-Year Subscription includes 12 monthly issues sent by E-mail, Fax or mail on the first day of each month-excluding Sundays. Subscribers are updated immediately by E-mail, Fax or mail when any changes are made to the portfolio.YOUR SUBSCRIPTION WILL BE SENT TO YOUR SIGN-IN E-MAIL ADDRESS ( YOUR USER ID ).If you want your subscription faxed or mailed, please call us toll free at 1-877-268-8832.WE HAVE A 100% MONEY BACK GUARANTEE ON THE UNUSED PORTION OF THIS SUBSCRIPTION.BY PURCHASING THE "MODEL TRADING PORTFOLIO" YOU ARE HERBY CERTIFYING THAT YOU REALIZE IT IS NOT INVESTMENT ADVICE AND IS IN NO WAY TO BE CONSTRUED AS INVESTMENT ADVICE.
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