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American Capital Agency Corp. Message Board

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  • yourbestfriendintheworld yourbestfriendintheworld Mar 17, 2011 4:13 PM Flag

    Shorting AGNC on Ex dividend date!!!

    The risk/reward is there when the probability of decline is greater than the probability of increase over the term of your position. Unless you have actually calculated the probability of decline to 0 and the probability of increase to infinity as being significant over that term, then those are events of negligible probability.

    Go long when you're bullish, short when you're bearish, and stay out when you're uncertain. To do otherwise is to amplify risk and leave reward on the table.

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