220503 Allocation Performance

1) Top EMA Allocations Trading Daily EMAs January 2000 through April 2022

Allocation
Minimum
Net Profit
Draw –
Best
Worst
Annual
Last 12
Webpage (USD) 2000-2021 down Year Year Average Months
325869 $500,000 $9,491,767 ($106,038) $1,138,612 $201,175 $425,005 $715,597
All Majors $500,000 $5,458,713
($125,731)
$606,653
$109,395
$244,420
$416,032
931432 $250,000 $4,865,780 ($55,760) $506,103 $95,387 $217,871 $358,491
991279 $250,000 $5,056,212 ($56,514) $518,978 $99,667 $225,396 $355,578
7419918 $250,000 $4,774,083 ($54,094) $535,036 $99,195 $213,765 $345,712
371336 $250,000 $5,362,783 ($58,366) $577,810 $126,190 $240,125 $373,361
439743 $250,000 $4,629,206 ($47,590) $523,270 $108,017 $207,278 $369,917
382151 $200,000 $3,205,627 ($53,836) $482,682 $62,494 $143,536 $122,089
298117 $150,000 $3,783,688 ($36,634) $411,709 $71,407 $169,419 $316,967
312791 $125,000 $2,863,870 ($31,559) $392,510 $39,235 $128,223 $316,065
429997 $100,000 $2,651,283 ($34,381) $384,828 $33,885 $118,714 $113,678
694900 $100,000 $2,389,213 ($35,473) $307,811 $49,509 $106,980 $92,623
755747 $100,000 $2,191,700 ($31,801) $315,180 $40,205 $98,136 $87,494
231912 $75,000 $1,633,322 ($26,778) $218,807 $22,142 $73,134 $62,381
518623 $50,000 $1,0454,592 ($13,770) $175,968 $5,485 $47,221 $126,022
581177 $50,000 $1,277,641 ($20,801) $160,435 $24,097 $57,208 $56,153
465475 $35,000 $853,024 ($14,190) $121,637 $15,744 $38,195 $49,838
120058 $30,000 $735,152 ($9,910) $96,967 $12,054 $32,914 $36,746
616015 $25,000 $674,194 ($9,822) $86,925 $8,781 $30,188 $29,313
Micro-A2 $25,000 $520,913 ($9,194) $66,080 $9,450 $23.324 $26,139
Micro-A1 $20,000 $276,318 ($4,925) $39,881 $4,401 $12,419 $15,443
Micro-D2 $20,000 $368,165 ($7,883) $64,886 $3,604 $16,547 $10,408
Micro-D1 $20,000 $252,313 ($5,822) $36,635 $3,607 $11,298 $17,151
Performance trading one unit, net of all spreads and commissions, no compounding and withdrawing all profits annually. Allocation pages provide full disclosure of trading methodology, all trades & data enabling objective performance verification, you can also track trades as they occur here or on Barchart
Risk Disclosure How to Define Account Risk

2) Allocations Trading the Hourly EMA 9-18 January 2016 through April 2022

Allocation Minimum Net Profit Monthly Risk Best Worst Annual Last 12
Webpage (USD) Profit Drawdown Tolerance Year Year Average Months
All Majors
$200,000
$1,608,978 ($31,934) ($96,000) $476,059 $86,917 $254,049 $322,011
419881 $200,000 $1,217.979 ($23,209) ($70,000) $354,192 $65,046 $192,312 $255,231
373834 $150,000 $1,115,747 ($10,539) ($32,000) $251,827 $99,034 $176,171 $229,511
895778 $125,000 $981,009 ($12,647) ($38,000) $234,687 $81,902 $154,896 $205,813
411064 $100,000 $1,067,177 ($13,098) ($40,000) $270,543 $86,229 $168,502 $226,133
663294 $75,000 $568,326 ($8,715) ($27,000) $130,715 $50,765 $89,735 $118,437
991131 $50,000 $581,471 ($9,023) ($28,000) $132,160 $43,604 $91,811 $129,816
137994 $50,000 $558,967 -$7,388 -$23,000 $141,972 $45,491 $88,258 $122,890
655457 $30,000 $310,455 ($4,587) ($14,000) $79,360 $27,429 $49,019 $49,221
595715 $30,000 $295,852 ($4,481) ($14,000) $84,845 $29,426 $46,714 $43,020
195104 $25,000 $346,084 ($4,230) ($13,000) $90,798 $29,353 $54,646 $63,461
243127 $25,000 $320,006 ($4,869) ($15,000) $87,944 $33,521 $50,527 $48,793
796517 $25,000 $226,710 ($2,190) ($7,000) $51,401 $19,566 $35,796 $43,372
FX-001 $25,000 $231,463 ($3,195) ($10,000) $56,377 $16,345 $36,547 $50,927
100771 $15,000 $187,900 ($1,686) ($6,000) $45,660 $17,833 $29,668 $34,923
Performance trading one unit, net of all spreads and commissions, no compounding and withdrawing all profits annually. Allocation pages provide full disclosure of trading methodology, all trades & data enabling objective performance verification, you can also track trades as they occur here or on Barchart
Risk Disclosure How to Define Account Risk

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2) Using this spreadsheet you can create any allocation trading EMA 9-18 on the majors.

    • Enter your start balance in cell H19,
    • Number of contacts traded for each market in cells I19 – I44,
    • 2000-2021 annual performance shows in cells D19-D43,
    • Monthly performance column F,
    • Maximum drawdown H-21.x
Other Automated Trading Account Programs
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4) Hybrid allocations that trade using a combination of outright positions , inter and intra market spreads, collars, option credit & debit spreads.
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5) Register for access to VBO and other accredited investor trading programs.

If you have any questions contact me.

Peter Knight Advisor
My current date and time June 28, 2022 2:06 am
Direct VI Phone 24/7 +340 244 4310
Skype: Peter Knight Advisor
Message me

Schedule an online review
Peter_Knight@peterknightadvisor.com

 


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