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Profits are $27,047 per contract, on a $10,000 margin 1 Losing Trade in 14 Years | |
RUNDATE:27 April 2024
NUM WEEK-OF SELL BUY S DMAX DCLS PROFIT TREND TOTALS TREND FXLV-NEURO-SWITCHES
1 10DEC10 121-28 125-07 L STOP-LOSS 3343- 1437 3343- 1437 STAY-OUT
2 27MAY11 124-19 118-19 L 4.11 3.18 6000 4937 2656 6374 X020000000100000000
3 01JUL11 124-19 122-22 X 2.08 2.00 1906 4562 8280 L000000000020000000
4 19AUG11 140-07 122-22 L 17531 22093 25811 X020400000020000000
5 16MAR12 137-12 136-14 X 7.19 6.15 937 8687 23031 34498 L000000700000000000
6 01JUN12 152-03 135-27 L 1.03 16250 39281 50748 X000000000003000000
7 06SEP13 147-25 129-01 X 0.31 18750 15000 58031 65748 L000000009000000000
8 30JAN15 151-09 122-13 L 0.07 28875 86906 94623 X020000000000000000
9 26JUN15 164-18 147-18 X 0.17 17000 103906 111623 L000000700000000000
10 08JUL16 176-30 141-21 L 35281 43656 139187 155279 X000000000100000000
11 16DEC16 174-02 147-21 X 0.13 26406 165593 181685 L020000009003000000
12 23JUN17 156-20 145-04 L 0.19 11500 177093 193185 X020000000000000000
13 02FEB18 154-10 144-25 X 2.29 1.29 9531 186625 202717 L000000700020000000
14 05OCT18 137-09 142-06 L 3.20 2.19 4906- 8281 181718 210998 GET-OUT
15 13SEP19 160-02 136-29 L STOPPED-> 23156 204875 234154 << BUY
16 20MAR20 169-01 155-29 L STOPPED-> 13125 16062 218000 250216 << BUY
17 05JUN20 175-01 175-31 L STOP-LOSS 937- 10406 217062 260622 << BUY
18 14AUG20 178-05 174-04 L STOPPED-> 4031 221093 264653 << SELL
19 12FEB21 177-11 166-05 X 4.05 1.24 11187 232281 275841 L020000000000000000
20 08OCT21 157-24 161-15 L 1.13 0.17 3718- 3718 228562 279559 GET-OUT
21 07JAN22 157-26 161-10 L STOP-LOSS 3500- 225062 276059 L000000000020000000
22 25MAR22 150-11 156-27 L STOP-LOSS 6500- 4031 218562 280090 L000000000020000000
23 17JUN22 131-19 146-02 L STOP-LOSS 14468- 3593 204093 283683 << BUY
24 28OCT22 112-20 134-04 L STOP-LOSS 12875- 26000 191218 309683 << BUY
25 16DEC22 131-05 121-04 L 3.21 1.26 10031 201250 319714 X000050000000000000
26 17MAR23 132-09 132-20 X STOP-LOSS 343- 6437 200906 326151 << SELL
27 06OCT23 133-07 110-15 X 1.23 0.11 22750 223656 348901 L020000700003400000
28 29DEC23 124-30 110-16 L 3.11 2.00 14437 238093 363338 X000000000000400000
29 26APR24 124-31 113-31 O 11000 249093 374338 Open short trade.
System Averages___________________________ System Averages with TREND_________________
AVERAGE PROFIT/Year............ $17,998 AVERAGE PROFIT/Year/TREND....$27,047 (270%)
AVERAGE TRADE.................. 8589 AVERAGE TRADE-TREND.......... 12908
AVERAGE PROFIT................. 14984 AVERAGE PROFIT-TREND......... 13494
AVERAGE LOSS................... 5621- AVERAGE LOSS-TREND........... 3500-
WINS LOSSES P/L W/L.......... WINS/TREND LOSSES/TREND P/L/TREND W/L/TREND
20 9 2.67 2.22 28 1 3.86 28.00
Notes:
P/L = Ratio: Profit/Loss
W/L = Ration: Wins/Losses
After TREND the system had only 1 losing trade in the last 14 years.
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To be a successful Trader, you have to be able to Trade without the
Stress and Pressure of knowing what the Market is doing on a Daily Basis.