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    Home»Investing»Dividend Investing»Why the AI Bottleneck Is Getting Worse – And How We Can Profit
    Dividend Investing

    Why the AI Bottleneck Is Getting Worse – And How We Can Profit

    AdminBy AdminSeptember 9, 2026No Comments0 Views
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    Jonathan trades a lot of the same stocks we discuss here regularly. But with his strategy, you could magnify your gains on those same stocks

    Listen to the audio version of this article (generated by AI).

    I’ve spent more than four decades in this business. And one of the biggest “secrets” to my success comes from doing something that sounds simple.

    I follow the numbers, folks.

    Way back when, I was one of the first “quants” on Wall Street. I built my career systematically searching for stocks with fantastic earnings growth, rock-solid fundamentals and growing institutional buying pressure.

    My friend and InvestorPlace colleague Jonathan Rose also follows the numbers.

    But he does it in a very different way.

    Jonathan has spent three decades as a trader. He studies trading flow, volatility and how professional traders are positioning their money. And the result is usually quick trades for big gains.

    So, Jonathan and I come at the market from two very different directions.

    But right now, we’re both seeing an important trend in the massive AI infrastructure buildout.

    That’s why I was excited to join Jonathan this morning as the first-ever live guest on his YouTube show, Masters in Trading: Live.

    You can click here or on the image below to watch our full conversation.

    How Jonathan Follows the Smart Money

    And if you like Jonathan’s approach, I encourage you to check out Masters in Trading: Live regularly. You can sign up for his free email list here.

    Jonathan has spent nearly three decades in the options market, including time on the trading floor and as a market maker at the Chicago Board Options Exchange. Over his career, he has generated more than $10 million in trading profits.

    What interests me most is how he uses the options market to track where big money may be moving before the story becomes obvious.

    That is also the idea behind his Masters in Trading Challenge.

    Over seven days, Jonathan teaches his proprietary “Big-Money Tell” strategy, which is designed to identify unusual spikes in options demand that can sometimes appear ahead of earnings reports, product launches, mergers and other market-moving events.

    In other words, I use fundamentals and institutional buying pressure to help identify strong stocks. Jonathan teaches investors another way to follow the money and potentially improve their timing around those opportunities.

    In fact, Jonathan trades a lot of the same stocks we discuss here regularly. But with his strategy, you could magnify your gains on those same stocks – and make them in a fraction of the time.

    So, if you’d like to learn how Jonathan puts his strategy to work, click here to learn more.

    Sincerely,

    An image of a cursive signature in black text.An image of a cursive signature in black text.

    Louis Navellier

    Editor, Market 360

    The Editor hereby discloses that as of the date of this email, the Editor, directly or indirectly, owns the following securities that are the subject of the commentary, analysis, opinions, advice, or recommendations in, or which are otherwise mentioned in, the essay set forth below:

    Bottleneck Profit Worse
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