Performance September 2014 – February 2021
This program has been suspended until trade execution issues can be resolved, for more information please contact me.
|Recommended Starting Balance||$35,000.00|
|Cumulative Net Profit
|Maximum Drawdown (37.56%)
|Best Year 2020 +124.39%||$43,535.95|
|Worst Year 2015 +45.89%||$16,060.59|
|2007-2020 Average +81.82%||$28,638.57|
Performance is based on trading one $35,000 unit, never adding units and withdrawing all net profits annually. This program uses leverage and has a realistic risk factor of $20,000 USD per unit if you are not in a position to comfortably assume this risk you should not participate in this program.
If you’d like to learn how this program works contact with this spreadsheet up, I’ll walk you through it in less than 30 minutes when we’re done you’ll be able to duplicate past performance and monitor trades forward.
1) Markets Traded
|1.03||Euro Stoxx 50||D||W||T|
2.01) Basics of the Futures
2.02) Basics of Futures Options
2.03) S&P Educational Videos and Links
2.04) Introduction to Order Types
2.05) Detailed Description of Order Types With Examples
2.06) Understanding Futures Margin Requirements
2.07) Understanding Moving Averages
2.08) Understanding Support and Resistance
2.09) Explaining Call Options (Short and Long)
2.10) Explaining Put Options (Short and Long)
3) Program Structure and Account Opening Procedure
3.01) (ATA’s), What They Are and How They Work
3.02) The Fee Structure For This Program
3.03) Defining Overall Risk For Your Account
3.04) How Balances Are Guaranteed Plus or Minus Trading
3.05) How To Open An Account
If you have any questions contact me.