The Option Spread Portfolio is an options credit spread portfolio operated by Giorgio Ferrero. Giorgio is a life-long investor who believes in option spreads as a low-risk way to make income selling premium. Here is an example position/post to see what Giorgio does.
Portfolio Information:
- Enters 6-8 Credit Spreads Per Month
- Credit Spreads are bull put spreads, bear call spreads, and iron condors.
- Position are researched using fundamental analysis, technical analysis, and historical analysis.
Allocation Information
- Portfolio is $10,000 in size.
- Average position size is $1000.
- 6-8 positions opened per month.
Results
Current Positions
Current position can be seen here.
You can follow Giorgio's portfolio for $20 per month right now! Sign up here!
For more questions, email Giorgio at giorgio.ferrero at theoxengroup.com.
Good Investing!








