This package will give you a turnkey solution for trading a 30K to 50K account. This system trades two different systems.
• The first is a thirty year Treasury bond system, MAR Bond. This is an inter-market based bond system which was originally released in June 2010. This system has done very well since release, up over $30,000 on one bond contract since release! This system has made money both long and short with 100.00 deducted for slippage and commission from 9/22/1987 to 8/6/2012. The system makes $158,728.13 on the long side and $47,903.13 on the short side during the complete period.
• The next system is a special inter-market system for trading the E-Mini S&P500. The E-Mini is figured at $50.00 per point with a min move of .25. The signals are based off of the full size contract. We deducted $35.00 slippage and commission. This system has done well both on the long and the short side. It made $91,970.00 on the long side and $60,242.50 on the short side during the period of 1/4/1991 to 8/6/2012. Both systems do well but if we trade both systems together in the same account these systems perform better than either of them do independently. Using our money management methodology, Dynamic Margin we will combine both of these systems. Dynamic margin is 7 times the 40 bar average range in dollars. We then can size positions based on a percent of this dynamic margin. For example is the 40 bar average range is 10 points, $500.00, dynamic margin would be $3500.00. If we are trading at 25% of margin we would trade one contract for each $14,000 in our account.
Let’s look at our results using this money management. Using this methodology we find that starting with a 30K account using the period 1/1/2000 to 8/6/2012 for the bond system we have a 20.82% compound annual growth rate and a max drawdown of 24.55% For the Mini SP500 system alone we have a compound annual growth rate of 33.61% with a drawdown of 41.50%. If we combine the systems our results are better than either of the systems alone. Starting with 30K in 1/1/2000, our profits grow to over 730K. You can see by combining them that the compound annual growth rate is now greater than the maximum drawdown MAR is 1.13 and sharpe ratio is also better .98. You can purchase this package for only $1500.00 for a limited time, you will get the following •Copy of TradersStudio Multicore™
• Pinnacle Data™, Futures data with deep history, Forex data and Index database with one year of updates
• MAR_Bond System
• SP500 E-Mini Intermarket System
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