Greg Miller started working on Wall Street in September, 1987, just a month before the “Black Monday” stock market crash.

During his career there, he became an expert in just about every kind of publicly-traded security – from blue-chip and small-cap stocks to municipals, junk bonds and derivatives. As a portfolio manager, Greg was responsible for over $500 million of assets in mutual funds and insurance company accounts.

After leaving “the Street,” he designed a successful options trading strategy and made lucrative tech investments for a financial publication. He has also helped develop new products and worked with other editors to hone their strategies.

Greg is dedicated to the kind of fundamental, deep-dive research that often seems to have gone out of style elsewhere. Greg has remained so dedicated to heavy research he because believes buying the very best companies at the right price is the best way for investors to amass wealth in the stock market.