GSI, Global Stock Indices – trades with the trend using outrights, collars & spreads

Performance May 2011 – May 2020

Recommended Starting Balance $300,000.00
Cumulative Net Profit
Maximum Drawdown (-23.72%)
Best Year 2020 +104.48% $313,431.50
Worst Year 2016 +31.04% $93,107.63
2007-2020 Average +63.10% $189,294.19
2020 +104.48%

This program trades with trend long & short using outrights, collars and spreads. Performance is based on trading one $300,000 unit, never adding units and withdrawing all net profits annually. GSI uses leverage and has a realistic risk factor of $100,000 USD per unit, 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

 1) Stock Indices traded in this ATA

# Analysis Page Hour 2 Hour Day Week
1.01 S&P 500 H 2H D W T
1.02 NASDAQ H 2H D W T
1.03 Dow H 2H D W T
1.04 Russell 2000 H 2H D W T
1.05 Euro Stoxx 50 H 2H D W T
1.06 Euro Stoxx E600 H 2H D W T
1.07 DAX Index H 2H D W T
1.08 CAC 40 H 2H D W T
1.09 Swiss Index H 2H D W T
1.10 Hang Seng H 2H D W T
1.11 Nikkei H 2H D W T
1.12 ASX 200 Index H 2H D W T
1.13 FTSE 100 H 2H D W T

2) Program Structure and Account Opening Procedure

2.01 ATAs What They Are & How They Work
2.02 The ATA Fee Structure
2.03 Defining Overall Risk For Your ATA Account
2.04 Exchanges Traded
2.05 Brokerage Firms
2.06 How Balances Are Guaranteed Plus or Minus Trading Activity
2.07 How To Open An Account

If you have any questions send a message or contact me.

Peter Knight


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Risk Disclosure

Published by

Asset Investment Management

Family Office, Advisors