Site icon

S&P 500 ATA Performance 2007-2017 20180104 Revision

Opinion    20 Year Chart    5 Year Chart    1 Year Chart

1) Performance Summary 8 January 2007 through 31 December 2017

Account Minimum  $25,000.00
Cumulative Net Profit
$310,008.00
Maximum Drawdown
($12,457.00)
Best  Year 2015   +225.15% $56,287.50
Worst Year 2012  +3.60% $900.00
2007-2017 Average   +112.73% $28,182.55
2017   +146.48% $36,620.50

2) Performance Explained

3) Monthly and Annual Performance


Disclosure

SHORT VIDEO?

4) What We’re Trading & How

4.1) S&P contract information, specifications & valuation
4.2) How this program objectively identifies trends and trend reversals
4.3) How we generate trades, place orders & define risk
4.4) The vulnerability of the U.S. Stock Market at current levels
4.5) Additional S&P guides, reports and videos
4.6) S&P interactive risk/reward spreadsheet

5) Program Structure & How to Open An Account

5.1)  Automated Trading Accounts (ATA’s)  what they are and how they work
5.2)  How to define overall risk for your account
5.3)  The ATA fee structure and how it works
5.4)  Firms we trade through
5.5)  How balances are guaranteed plus or minus trading activity
5.6How to open an account

6) Resources

6.1) Exchanges we trade on
6.2) US derivatives markets we trade using this methodology
6.3) European derivatives we trade using this methodology
6.4) Stocks we trade using this methodology
6.5) More about the products and services we offer
6.6) The Learning Center

If you have questions send us a message or  schedule an online review  to speak with a broker who’ll  answer your questions and provide supporting links for additional information and/or verification.

Regards,
Peter Knight Advisor


Disclosure

old

 

This program trades up to 5 contracts long or short with the trend up or down using option collars” to define risk on every trade and for the duration of every trading period.

4) Video reference links 

4.1) 35 year chart
4.2) 10 year chart 
4.3) Opinion
4.4) 1997 through 2011 
4.5) 2009 through 2018
4.6) 5 Year chart 
4.7) Opinion
4.8) S&P chart to set up a trade 
4.9) Opinion
4.10) Trade outcome
4.11)
4.12)

 

.8) 1983 through 1988
4.9) The 1987 stock market “crash”
4.9) September 1982 through October 1985
4.5)
aa
aa
aa
aa
4.6) Opinion
4.7) September 1982 through November 1985

4.8) September 1982 through September 1987
4.9) Opinion 
4.10) Daily Chart October 1987 through January 1988
4.11)
4.12) 1982-2017 S&P chart
4.13) S&P chart 2008 forward
4.14) Current opinion

6) S&P Trading Tools

6.1) S&P contract specifications, information & intro video
6.2) Current margin requirement
6.3) Opinion
6.4) 1 Year chart using daily price data
6.5) 5 Year chart using weekly price data
6.6) 20 Year chart using monthly price data
6.7) Analysis 1
6.8) Analysis 2
6.9) Ranges
6.10) CME Futures Quotes
6.11) CME Options Quotes
6.12) Barchart Options Quotes

7) Spreadsheet and instructions to track, duplicate trades, or generate your own.

2) Automated Trading Accounts, what they are and how they work 

2.1) As our ATA Client you maintain control of

2.2) ATA Team responsibilities include 

2.3) About this ATA

8) Defining overall risk for your Automated Trading Account

9) How Automated Trading Account incentive fees work

10) How to open an account

 

Exit mobile version