SP-NC, trades with the short-term trend using outright positions

Performance Summary  June 2011 –  May 2020

Recommended Starting Balance $35,000.00
Cumulative Net Profit
$334,789.49
Maximum Drawdown (-38.96%)
($13,635.63)
Best Year 2015 +163.16% $57,106.25
Worst Year 2012 +32.46% $11,362.50
2007-2020 Average +106.28% $37,198.50
2020  +83.30%
$29,156.51

Performance is based on trading one $35,000 unit, never adding units and withdrawing all net profits annually.  SP-NC uses leverage, has a realistic risk factor of $20,000 USD per unit with daily swings in equity of up to $7,000, if you are not in a position to comfortably assume this risk you should not participate in this program.

Risk Disclosure     Defining Overall Account Risk

Contracts traded

S&P Micro (MES) 1.00 $5.00  (when daily ranges exceed 75.00 points)
S&P (E-Mini ES) 1.00 = $50.00

How we’re trading

S&P Analysis Page
39 years of performance using this trading methodology

Educational links

Global Stock Index Analysis Homepage
Stock Index Educational Page
Futures General Information
Options General Information

Program structure and account opening procedure

Automated Trading Accounts (ATA)
The Fee Structure For This Program
Defining Overall Risk For Your Account

How Balances Are Guaranteed Plus or Minus Trading
Exchanges Traded

Brokerage Firms
How To Open An Account

If you have any questions contact me.

Regards,
Peter Knight

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Risk Disclosure

Published by

Asset Investment Management

Family Office, Advisors