Avant Options utilizes our decades of options trading experience to provide consistent and stable portfolio returns while minimizing losses and portfolio drawdowns. Our clients can rest easy knowing we have our own portfolio invested in the same trading recommendations we release.
The cornerstones of our success include strict adherence to our risk management parameters as well as a flexible approach to implementing both directional and don-directional trading strategies as financial markets fluctuate.
Avant Options primary focus is to minimize overall trading and trading related stress. We prefer to produce stable annual returns of 20-40% while minimizing drawdowns and overall risk as opposed to reaching for 50% returns or greater. Reaching too far for returns exposes a portfolio to large swings and drawdowns. We prefer sleeping at night and doing so profitably.