Day trader turned Systems Engineer. My degrees are in math and economics and my work is a blend of finance, math, and electrical/mechanical engineering. I work on modeling the real optionality of power systems to assist in commodity purchase/hedging and CAPEX decisions. We hedge ~$0.75bn in commodities annually and manage an overall portfolio of ~$10bn (not including physical assets) over a horizon of 2-10 years.
Stocks charted all have over 10% of float short and are breaking out or consolidating just under breakout levels. The stocks charted are: $ACOM $ATPG $CAKE $EAT $LLNW $LVLT $QSII $SFY $SRZ $UTHR