Gold
Shiny
Gold (GC)
OVERVIEW: Gold is a short term automated strategy, designed to trade gold contract. This strategy is always in the market. It identifies when the current trend in 60 minute chart is losing strength, in order to take advantage of the possible new movement
ENTRY LOGIC: An indicator was developed to measure the strength of a trend and alert of a possible weakness of the current trend. Due to this automated strategy is always in the market, the entry of a new trade is the exit of the previous trade.
EXIT LOGIC: An indicator was developed to measure the strength of a trend and alert of a possible weakness of the current trend. Due to this automated strategy is always in the market, the entry of a new trade is the exit of the previous trade.
MONEY MANAGEMENT: This strategy generates approximately 300 trades per year.
These results are based on 1 contract, with a starting balance of $25.000 and a commission rate of $25 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (06/01/2010-02/23/2012)
Performance
Equity Curve
Last Trades
Hypothetical Back test Results(2007-2008-2009)
Performance
Equity Curve
Shiny
Gold-R
Shiny
Gold-R (GC)
OVERVIEW: Gold-R is a short term automated strategy, designed to trade gold contract. This strategy identifies when the current trend in 60 minute chart is losing strength, in order to take advantage of the possible new movement.
ENTRY LOGIC: The entries are set by an indicator that was developed to measure the strength of a trend, which alerts of a possible weakness of the current trend. Sometimes the entry of a new trade could be the exit of the previous trade. (Reverse the position)
EXIT LOGIC: An indicator that was developed to measure the strength of a trend, alert of a possible weakness of the current trend. The exit of the current trade sometimes could be the entry of a new trade. (Reverse the position). It also has stop loss and trailing stop.
MONEY MANAGEMENT: An indicator that was developed to measure the strength of a trend, alert of a possible weakness of the current trend reversing the position. It also has stop loss and trailing stop. This strategy generates approximately 300 trades per year.
These results are based on 1 contract, with a starting balance of $25.000 and a commission rate of $25 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (11/01/2010-02/23/2012)
Equity Curve
Performance
Last Trades
Hypothetical Back test Results(2008-2009-2010)
Performance
Equity Curve
Shiny
Silver-Ri
Shiny
Silver-Ri (SI)
OVERVIEW: Silver-Ri is a short term automated strategy, designed to trade silver contract. This strategy identifies when the current trend in 60 minute chart is losing strength, in order to take advantage of the possible new movement.
ENTRY LOGIC: The entries are set by an indicator that was developed to measure the strength of a trend, which alerts of a possible weakness of the current trend. Sometimes the entry of a new trade could be the exit of the previous trade. (Reverse the position)
EXIT LOGIC: An indicator that was developed to measure the strength of a trend, alert of a possible weakness of the current trend. The exit of the current trade sometimes could be the entry of a new trade. (Reverse the position). It also has stop loss and trailing stop.
MONEY MANAGEMENT: An indicator that was developed to measure the strength of a trend, alert of a possible weakness of the current trend reversing the position. It also has stop loss and trailing stop.This strategy generates approximately 300 trades per year.
These results are based on 1 contract, with a starting balance of $38.000 and a commission rate of $55 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (11/01/2010-02/23/2012)
Performance
Equity Curve
Last Trades
Hypothetical Back test Results (2008-2009-2010)
Performance
Equity Curve
Shiny
Crude Oil-Ri
Shiny
Crude Oil-Ri (CL)
OVERVIEW: Crude oil - Ri is a short term automated strategy, designed to trade crude oil contract. This strategy identifies when the current trend in 60 minute chart is losing strength, in order to take advantage of the possible new movement.
ENTRY LOGIC: The entries are set by an indicator that was developed to measure the strength of a trend, which alerts of a possible weakness of the current trend. Sometimes the entry of a new trade could be the exit of the previous trade. (Reverse the position)
EXIT LOGIC: An indicator that was developed to measure the strength of a trend, alert of a possible weakness of the current trend. The exit of the current trade sometimes could be the entry of a new trade. (Reverse the position). It also has stop loss and trailing stop.
MONEY MANAGEMENT: An indicator that was developed to measure the strength of a trend, alert of a possible weakness of the current trend reversing the position. It also has stop loss and trailing stop. This strategy generates approximately 300 trades per year.
These results are based on 1 contract, with a starting balance of $66.000 and a commission rate of $25 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (11/01/2010-02/23/2012)
Performance
Equity Curve
Last Trades
Hypothetical Back test Results (2008-2009-2010)
Performance
Equity Curve
Shiny
Euro
Shiny
Euro (EC)
OVERVIEW: Euro is a long term strategy designed to trade Euro Fx contract. It is an option for the investors who like to benefit from the large market trend due it was developed to take advantage of the trends (bullish/bearish) and the average duration of the trades is 25 days. It uses a mix of tools in order to identify the beginning and the exhaustion of the trend. It has an input that allows the investor to set the number of contracts to use.
ENTRY LOGIC: Euro uses a tool to identify the long term trend and other to identify the power and consistency of the last movements. When both converge a trade is generated. Sometimes the entry of a new trade could be the exit of the previous trade.
EXIT LOGIC: Euro uses a tool to identify the long term trend and other to identify the power and consistency of the last movements. Sometimes the exit of a trade could be the entry of a new trade (Reverse the position). It also has trailing stop and stop loss.
MONEY MANAGEMENT: Once a trade is generated, a trailing stop and stop loss orders are set. In other hand the tools used for entries and exits work together as a kind of trailing stop. This strategy generates approximately 9 trades per year.
These results are based on 1 contract, with a starting balance of $42.000 and a commission rate of $30 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (08/01/2010-02/23/2012)
Performance
Equity Curve
Last Trades
Hypothetical Back test Results (2002-2010)
Equity Curve
Performance
Shiny
Corn-Ri
Shiny
Corn-Ri (C)
OVERVIEW: Corn is a short term automated strategy, designed to trade Corn contract. It identifies when the current trend in 15 minute chart is losing strength, in order to take advantage of the possible new movement
ENTRY LOGIC: An indicator was developed to measure the strength of a trend and alert of a possible weakness of the current trend. .
EXIT LOGIC: An indicator was developed to measure the strength of a trend and alert of a possible weakness of the current trend.
MONEY MANAGEMENT: This strategy generates approximately 150 trades per year.
These results are based on 1 contract, with a starting balance of $18.000 and a commission rate of $30 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (06/01/2011-02/23/2012)
Performance
Equity Curve
Last Trades
Hypothetical Back test Results(2008-2009-2010-06/01/2011)
Performance
Equity Curve
Shiny
Yen-R
Shiny
Yen-Ri (JY)
OVERVIEW: Yen-R is a short term automated strategy, designed to trade Japanese Yen contract. It identifies when the current trend in 15 minute chart is losing strength, in order to take advantage of the possible new movement
ENTRY LOGIC: An indicator was developed to measure the strength of a trend and alert of a possible weakness of the current trend. .
EXIT LOGIC: An indicator was developed to measure the strength of a trend and alert of a possible weakness of the current trend.
MONEY MANAGEMENT: This strategy generates approximately 150 trades per year.
These results are based on 1 contract, with a starting balance of $18.500 and a commission rate of $30 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (06/01/2011-02/23/2012)
Performance
Equity Curve
Last Trades
Hypothetical Back test Results(2008-2009-2010-06/01/2011)
Performance
Equity Curve
Shiny
MiniEuro
Shiny
MiniEuro (E7)
OVERVIEW: MiniEuro is a long term strategy designed to trade Mini Euro Fx contract(E7). It is an option for the investors who like to benefit from the large market trend due it was developed to take advantage of the trends (bullish/bearish) and the average duration of the trades is 25 days. It uses a mix of tools in order to identify the beginning and the exhaustion of the trend. It has an input that allows the investor to set the number of contracts to use.
ENTRY LOGIC: MiniEuro uses a tool to identify the long term trend and other to identify the power and consistency of the last movements. When both converge a trade is generated. Sometimes the entry of a new trade could be the exit of the previous trade.
EXIT LOGIC: MiniEuro uses a tool to identify the long term trend and other to identify the power and consistency of the last movements. Sometimes the exit of a trade could be the entry of a new trade (Reverse the position). It also has trailing stop and stop loss.
MONEY MANAGEMENT: Once a trade is generated, a trailing stop and stop loss orders are set. In other hand the tools used for entries and exits work together as a kind of trailing stop. This strategy generates approximately 9 trades per year.
These results are based on 1 contract, with a starting balance of $24.000 and a commission rate of $18 /contract round turn. Everyday the Published is actualized (1 day delay).
Hypothetical Real Time Results (06/01/2011-02/23/2012)
Performance
Equity Curve
Last Trades
Hypothetical Back test Results (2002-06/01/2011)
Equity Curve
Performance
Shiny
Disclaimer The risk of trading can be substantial and each investor and/or trader must consider whether this is a suitable investment. Past performance, whether actual or indicated by simulated historical tests of strategies, is not necessarily indicative of future results.
HYPOTHETICAL PERFORMANCE DISCLAIMER: HYPOTHETICAL PERFORMANCE RESULTS HAVE MANY INHERENT LIMITATIONS, SOME OF WHICH ARE DESCRIBED BELOW. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFITS OR LOSSES SIMILAR TO THOSE SHOWN. IN FACT, THERE ARE FREQUENTLY SHARP DIFFERENCES BETWEEN HYPOTHETICAL PERFORMANCE RESULTS AND THE ACTUAL RESULTS SUBSEQUENTLY ACHIEVED BY ANY PARTICULAR TRADING PROGRAM.
ONE OF THE LIMITATIONS OF HYPOTHETICAL PERFORMANCE RESULTS IS THAT THEY ARE GENERALLY PREPARED WITH THE BENEFIT OF HINDSIGHT. IN ADDITION, HYPOTHETICAL TRADING DOES NOT INVOLVE FINANCIAL RISK, AND NO HYPOTHETICAL TRADING RECORD CAN COMPLETELY ACCOUNT FOR THE IMPACT OF FINANCIAL RISK IN ACTUAL TRADING. FOR EXAMPLE, THE ABILITY TO WITHSTAND LOSSES OR TO ADHERE TO A PARTICULAR TRADING PROGRAM IN SPITE OF TRADING LOSSES ARE MATERIAL POINTS WHICH CAN ALSO ADVERSELY AFFECT ACTUAL TRADING RESULTS. THERE ARE NUMEROUS OTHER FACTORS RELATED TO THE MARKETS IN GENERAL OR TO THE IMPLEMENTATION OF ANY SPECIFIC TRADING PROGRAM WHICH CANNOT BE FULLY ACCOUNTED FOR IN THE PREPARATION OF HYPOTHETICAL PERFORMANCE RESULTS AND ALL OF WHICH CAN ADVERSELY AFFECT ACTUAL TRADING RESULTS.