Performance reports are updated every 10 minutes.
1) All US Stocks
Top 100 gainers (longs) | 100 largest losers (shorts) |
Today | Today |
Past 5 Days | Past 5 Days |
Past Month | Past Month |
Past 3 Months | Past 3 Months |
Year to Date | Year to Date |
Past 12 Months | Past 12 Months |
Past 3 Years | Past 3 Years |
Past 5 Years | Past 5 Years |
Past 10 Years | Past 10 Years |
2) S&P 500 Stocks
Top 100 gainers (longs) | 100 largest losers (shorts) |
1 month | 1 month |
3 Month | 3 Month |
Year to Date | Year to Date |
52 Weeks | 52 Weeks |
3) Example analysis pages for 5 S&P Stocks
Stock | Analysis Page | Daily | Direction |
AMD | Adv Micro Devices | Chart | Opinion |
CMG | Chipotle Mexican Grill | Chart | Opinion |
KEYS | Keysight Technologies | Chart | Opinion |
XLNX | Xilinx Inc | Chart | Opinion |
FTNT | Fortinet Inc | Chart | Opinion |
4) Exchange Traded Funds (ETFs)
Top 100 gainers (longs) | 100 largest losers (shorts) |
Today | Today |
Past 5 Days | Past 5 Days |
Past Month | Past Month |
Past 3 Months | Past 3 Months |
Year to Date | Year to Date |
Past 12 Months | Past 12 Months |
Past 3 Years | Past 3 Years |
Past 5 Years | Past 5 Years |
Past 10 Years | Past 10 Years |
5) US Stock Index Futures
5.1) US Stock Index Futures Year to Date Price Change
5.2) US Stock Index Futures Long, Short, Hold Summary
6) Non US Stocks & Stock Indices
5.1) Non US Stock Index Futures Year to Date Price Change
5.2) Non US Stock Index Futures Long, Short, Hold Summary
5.3) Non US Stocks & ETFs
7) US and European Futures Markets
US Futures gainers & losers | Euro Futures gainers & losers |
Today | Today |
5 Day | 5 Day |
1 Month | 1 Month |
3 Month | 3 Month |
6 Month | 6 Month |
Year to Date | Year to Date |
12 Month | 12 Month |
8) Example ATA analysis pages
9) Performance rankings enable you to quickly identify what market’s are moving then trade that market with trend rather than be married to one market or sector.
Of the two traders below who do you think makes more with less stress.
Trader A: He monitors all markets and trades only the ones that are moving with a clean trend, example, Palladium from 26 October 2018 to 28 February 2019.
Contract value 26 October 2018 = $109,800
Contract value 28 February 2019 =$154,560
Total overall change in contract value = +$44,760
Palladium 4 Month Chart & Palladium Analysis Page
Trader B: He only trades the USD, overall he’s done well but he has to endure periods like 26 October 2018 to 28 February 2019 which generated only small gains, losses and frustration as the USD whipsawed up and down with no significant overall rate of change.
Contract value 26 October 2018 = $96,580
Contract value 28 February 2019 =$96,160
Total overall change in contract value = -$420
Daily ranges during this 4 month period frequently exceeded the overall change.
USD Index 4 Month Chart & USD Index Analysis Page
Once a market is qualified, trade it with the trend using a proven trend following program. When the market stalls like the USD did in November 2018 get out.
10) These Futures and Stock ATA analysis pages fully disclose trading methodology for over 50 of the several hundred ATA markets we track and trade enabling you to duplicate trades in these markets and monitor performance.
11) ATA Account Structure, you define sectors traded, the level of leverage that suits your risk tolerance and overall account risk. My Team identifies trade-able markets, generates and places all orders, monitors all trades and ensures your account stays within your defined guidelines.
12) Your ATA Account allocation can be modified at any time. Example, if you limited your trading to ETF’s and then viewed the futures rankings page seeing Palladium in a beautiful up-trend, you could instruct us to trade it automatically using the procedure outlined on one of the Palladium ATA Analysis Pages.
13) Risk Control with any ATA Account you can define the maximum overall risk on your account before the first trade goes on. This is done by setting an initial and maintenance balance. In the event your maintenance balance is hit the account is automatically liquidated on or before the next settlement and losses contained, if we fail to liquidate on or before the next settlement we’re liable.
14) Mutually Beneficial Fee Structure The ATA team that directs trades in your account base compensation on 12.50% of net new high profits quarterly with a 0.00% management fee. For larger accounts the incentive fee can drop from 12.50% to as low as 5.00% of net new high profits.
15) Linked here is the performance several ATA markets, contact me for others.
16) ATA summary & account opening procedure
16.1) The ATA Fee Structure
16.1) Defining Overall Risk For Your ATA Account
16.1) How Balances Are Guaranteed Plus or Minus Trading
16.1) How To Open An Account
17) Links to Exchanges we trade on, firms we can trade through & the Asset Allocation Software we use.
17.1) 43 Exchanges
17.2) 70+ Brokerage Firms
17.3) Multi Market/Manager Asset Allocation
18) Working with us you can trade long or short in any liquid,
18.1) Forex
18.2) Futures
18.3) Global Stock Indices
18.4) Exchange Traded Funds (ETF’s)
18.5) Stocks – Major Market Movers, All Exchanges
18.6) Any Stock in the S&P 500
18.7) Any Stock in the NASDAQ 100
18.8) Global Energy Markets
18.9) Metals
19) Using any approved
19.1) Automated Trading Program
19.2) Commodity Trading Advisor (CTAs) (only QEP’s)
19.3) Hedge Fund (only QEP’s)
20) Account minimums USD or major currency equivalent
Futures & Forex, $10,000 to $500,000
Stocks & ETFs, $100,000 to $2,500,000
CTA & Hedge Funds $250,000 to $10,000,000 (only QEP’s)
Send a message or contact me with any questions.
Regards,
Peter Knight Advisor
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