Strategy:
Options are open on the most liquid ETF, SPY to collect consistent income every week using low risk spreads those profits are then reinvested in more spreads.
Forex pair EUR/USD is traded with high leverage for small but yet consistent income using an adequate size of equity usually 25-100 lots depending on market conditions, profits are reinvested into options.
Trading Methodology:
I use a mixture of both fundamental and technical analysis before every trade, no stop losses are used because I monitor my trades frequently to determine my current risk assessment in a situation where a big drawdown has occurred.
I hope you find my strategy intriguing.