1) 40 of the Top ATA allocations Jan 2019 – May 2023.
All programs trade long & short using fully disclosed trading methodology, we’ve provided all supporting historical data, every order generated, trade-by-trade cumulative performance and drawdown, contact or message me with any questions.
Allocation |
Advised |
Margin |
Net |
Last 12 |
Monthly HL
|
Max High to |
Risk |
Webpage |
Minimum |
Required |
Profit |
Months |
Drawdown |
Lowest low |
Tolerance |
353650 |
$300,000 |
$169,486 |
$2,631,238 |
$854,359 |
-$9,218 |
-$56,353 |
-$100,000 |
813750 |
$300,000 |
$129,465 |
$2,338,081 |
$750,784 |
$0 |
-$57,318 |
-$100,000 |
4197078 |
$250,000 |
$114,395 |
$1,955,290 |
$590,027 |
-$13,495 |
-$38,924 |
-$51,000 |
199407 |
$200,000 |
$102,559 |
$1,732,963 |
$547,930 |
-$11,358 |
-$32,782 |
-$50,000 |
419946 |
$200,000 |
$103,681 |
$1,641,448 |
$511,726 |
-$8,490 |
-$31,075 |
-$40,000 |
363267 |
$150,000 |
$84,667 |
$1,502,893 |
$472,474 |
-$15,450 |
-$29,890 |
-$50,000 |
134096 |
$150,000 |
$77,481 |
$1,325,493 |
$445,339 |
-$14,538 |
-$25,668 |
-$45,000 |
812387 |
$150,000 |
$76,029 |
$1,260,242 |
$422,041 |
-$5,951 |
-$23,393 |
-$35,000 |
609101 |
$100,000 |
$65,076 |
$1,006,645 |
$343,572 |
-$8,431 |
-$17,307 |
-$30,000 |
630001 |
$100,000 |
$64,812 |
$946,718 |
$318,516 |
-$6,670 |
-$15,980 |
-$30,000 |
7105896 |
$100,000 |
$61,853 |
$910,248 |
$307,060 |
-$7,360 |
-$15,756 |
-$30,000 |
113864 |
$75,000 |
$40,920 |
$702,992 |
$234,340 |
-$5,735 |
-$13,477 |
-$30,000 |
344174 |
$75,000 |
$37,125 |
$668,681 |
$216,820 |
-$4,289 |
-$13,317 |
-$25,000 |
811386 |
$75,000 |
$38,225 |
$598,737 |
$193,218 |
-$3,474 |
-$11,655 |
-$25,000 |
293735 |
$50,000 |
$29,760 |
$598,772 |
$184,271 |
-$6,232 |
-$13,587 |
-$19,000 |
290177 |
$50,000 |
$28,666 |
$555,648 |
$178,225 |
-$4,908 |
-$12,542 |
-$20,000 |
293737 |
$50,000 |
$28,616 |
$521,716 |
$163,612 |
-$4,794 |
-$11,326 |
-$20,000 |
37999 |
$50,000 |
$28,358 |
$492,090 |
$154,061 |
-$7,088 |
-$9,641 |
-$22,000 |
130632 |
$50,000 |
$32,802 |
$490,950 |
$152,980 |
-$5,947 |
-$9,613 |
-$18,000 |
124240 |
$50,000 |
$31,251 |
$461,226 |
$141,561 |
-$5,143 |
-$8,838 |
-$16,000 |
35469 |
$50,000 |
$25,814 |
$451,679 |
$135,201 |
-$6,521 |
-$9,655 |
-$20,000 |
33708 |
$50,000 |
$24,970 |
$442,288 |
$135,588 |
-$6,173 |
-$8,738 |
-$19,000 |
31903 |
$40,000 |
$23,617 |
$417,394 |
$127,431 |
-$5,046 |
-$8,286 |
-$16,000 |
116585 |
$35,000 |
$25,286 |
$385,365 |
$120,423 |
-$2,941 |
-$7,700 |
-$12,500 |
113678 |
$35,000 |
$21,194 |
$356,616 |
$104,918 |
-$4,186 |
-$7,315 |
-$13,000 |
204867 |
$35,000 |
$18,631 |
$323,153 |
$90,872 |
-$4,413 |
-$6,924 |
-$14,000 |
115856 |
$35,000 |
$17,289 |
$319,007 |
$94,035 |
-$5,219 |
-$7,531 |
-$16,000 |
73052 |
$30,000 |
$17,553 |
$318,021 |
$96,405 |
-$3,594 |
-$7,237 |
-$11,000 |
820468 |
$30,000 |
$13,538 |
$270,027 |
$72,443 |
-$5,053 |
-$6,568 |
-$13,000 |
91738 |
$30,000 |
$11,250 |
$237,520 |
$61,433 |
-$4,349 |
-$6,148 |
-$14,000 |
29151 |
$25,000 |
$12,108 |
$245,429 |
$65,351 |
-$4,542 |
-$6,025 |
-$14,000 |
429369 |
$25,000 |
$11,613 |
$236,698 |
$64,552 |
-$3,952 |
-$6,016 |
-$12,000 |
25550 |
$25,000 |
$11,066 |
$231,206 |
$65,602 |
-$4,917 |
-$6,073 |
-$15,000 |
11390 |
$25,000 |
$10,898 |
$230,851 |
$63,339 |
-$3,974 |
-$6,017 |
-$12,000 |
118851 |
$25,000 |
$14,003 |
$227,895 |
$75,541 |
-$3,126 |
-$8,851 |
-$10,000 |
277630 |
$25,000 |
$9,438 |
$214,682 |
$59,914 |
-$4,839 |
-$6,227 |
-$10,000 |
728559 |
$25,000 |
$11,440 |
$198,957 |
$62,860 |
-$3,328 |
-$5,034 |
-$10,000 |
113864 |
$25,000 |
$10,769 |
$182,088 |
$60,872 |
-$2,276 |
-$4,792 |
-$10,000 |
12595 |
$20,000 |
$8,514 |
$160,063 |
$50,143 |
-$3,581 |
-$4,151 |
-$11,000 |
25557 |
$20,000 |
$9,218 |
$152,364 |
$49,453 |
-$2,173 |
-$4,457 |
-$10,000 |
|
Disclosure |
Maximum high to lowest low drawdowns are marked-to-market daily which gives a far better representation of risk versus highest monthly high to lowest low. Risk Tolerance is the allocation’s built in equity stop, if an allocation experiences a loss equal to or exceeding the risk tolerance level all positions for that allocation are liquidated on or before the next settlement.
Use this spreadsheet to create your own allocation trading any combination of the 27 markets below and instantly review 2019-2023 performance. Any allocation can be traded automatically with overall account risk defined before the first trade goes on. allocations can be changed at anytime, liquidity in portion or all 2 to 48 hours in any major currency.
-
- Download and enable editing (allow 3-10 seconds)
- Enter the markets and number of contracts traded in column I, cells 19 through 45
- Recommended start balance shows in cell H-29 or enter your own in cell H-19
- Cumulative profit net of all spreads and fees, cell H-20
- Monthly highest high to lowest low drawdown cell H-22
- Risk tolerance (what you should be prepared to risk) cell H-31
- Your allocation’s monthly and annual performance columns B through H
- Individual market monthly and annual performance columns L through QF
- Cells F19-F45 and below easy to download text files containing full disclosure of trading methodology, 2019-2023 historical data. all orders generated, every trade entry, exit profit or loss and marked to market performance.
- There are 134,217,727 possible combinations of the 27 markets below, linked here a text file containing the top 100,000 from Jan 2019 through May 2023,

2019-2023 net performance per contract
-
- Click on All Data, Orders & Trades for any market, example ES101 a text file will open in less than 2 seconds containing full disclosure of trading methodology, all data, every order, trade and marked to market performance from 2019 through 2023, (53 months).
- Performance represented is trading a single contact deducting $25/$50.00 per trade for bid/ask spreads, brokerage, exchange and regulatory fees.
- Drawdowns are measured from highest daily high to lowest daily low prior to recovery
- Contact or message me with any questions or to do an online review, online reviews take 15-30 minutes when we’re done you’ll know how to calculate entries, stops, objectives to the exact price enabling you to verify daily marked to market performance from 2019 through 2023 for any market.
Markets & Contact Specifications
|
Exchange Margin Requirement |
All Data, Orders & Trades |
Net Profit Per Contract |
Last 12 Months Per Contract
|
Monthly Highest High to low |
Highest Daily High to Lowest Daily Low |
SP 500 |
$12,230 |
ES101 |
$127,863 |
$46,738 |
-$11,200 |
-$16,400 |
SP 500 Micro |
$1,232 |
ET302 |
$19,769 |
$3,830 |
-$2,173 |
-$2,344 |
Nasdaq |
$18,480 |
NQ101 |
$394,735 |
$94,040 |
-$26,425 |
-$36,990 |
Nasdaq Micro |
$1,848 |
NM302 |
$32,563 |
$6,458 |
-$2,998 |
-$4,060 |
Dow |
$8,800 |
YM101 |
$143,780 |
$56,325 |
-$6,870 |
-$12,700 |
Dow Micro |
$880 |
YR304 |
$13,100 |
$5,736 |
-$1,728 |
-$2,431 |
Gold 100 |
$9,130 |
GC102 |
$92,454 |
$31,570 |
-$9,347 |
-$13,113 |
Gold 50 |
$4,565 |
QO201 |
$59,493 |
$25,318 |
-$3,619 |
-$5,981 |
Gold 10 |
$913 |
GR302 |
$10,677 |
$4,475 |
-$1,253 |
-$1,419 |
Silver 5,000 |
$10,450 |
SI101 |
$251,390 |
$62,290 |
-$12,530 |
-$19,300 |
Silver 2,500 |
$5,225 |
QI202 |
$142,142 |
$46,385 |
-$7,525 |
-$9,748 |
Silver 1,000 |
$2,090 |
SO302 |
$53,170 |
$15,727 |
-$2,786 |
-$4,256 |
Copper 25,000 |
$7,150 |
HG100 |
$62,663 |
$16,045 |
-$6,820 |
-$9,075 |
Copper 12,500 |
$3,575 |
QC201 |
$37,194 |
$17,106 |
-$5,638 |
-$7,119 |
Copper 2,500 |
$715 |
QL303 |
$5,848 |
$1,213 |
-$1,384 |
-$1,458 |
Crude 1000 B |
$6,380 |
CL104 |
$214,330 |
$70,650 |
-$14,120 |
-$17,440 |
Crude 500 B |
$3,190 |
QM204 |
$102,850 |
$27,640 |
-$6,490 |
-$7,635 |
Crude 100 B |
$638 |
CY303 |
$19,047 |
$6,944 |
-$1,633 |
-$2,043 |
Gas 42,000 |
$7,700 |
RB101 |
$252,169 |
$95,314 |
-$18,245 |
-$26,636 |
Gas 21,000 |
$4,070 |
QU105 |
$126,084 |
$47,657 |
-$9,122 |
-$13,318 |
100,000 USD |
$2,750 |
DX100 |
$30,755 |
$11,529 |
-$1,720 |
-$3,466 |
125,000 CHF |
$4,950 |
S6100 |
$39,013 |
$13,750 |
-$3,663 |
-$4,537 |
125,000 EUR |
$2,915 |
E6100 |
$32,950 |
$5,475 |
-$2,813 |
-$3,550 |
62,500 EUR |
$1,460 |
E7200 |
$16,169 |
$3,425 |
-$1,406 |
-$2,031 |
12,5M JPY |
$4,092 |
J6104 |
$50,556 |
$17,769 |
-$7,669 |
-$8,081 |
6.25M JPY |
$2,046 |
J7201 |
$25,794 |
$6,981 |
-$2,634 |
-$3,450 |
100,000 CAD |
$1,375 |
DX100 |
$21,830 |
$6,535 |
-$2,945 |
-$4,765 |
Disclosure |
What we do, my team researches Hedge Funds, CTAs, objective long/short trading programs and provides access to top the performers through the safest and most capable firms worldwide. All objective trading programs are fully automated through our platform on ChartVPS using CQG integrated client linked to multiple exchange members worldwide
How it works, decide on an allocation or, markets/periods you want to traded, we place, monitor, manage all trades 24 hours a day, markets, periods traded and contact size can be changed at any time.
Define your overall account risk, but it should be realistic, in 2023 with the benefit of hindsight, diversification and optimization a capable analyst with access to 6,200 hedge funds, CTA’s and trading programs could optimize performance and produce an allocation where there are no losing quarters over a 10 year period.
Our fee structure is based on 5.00% to 12.50% of net new high profits quarterly (depends on start balance)
-
- 0.00% front load.
- 0.00% management fee.
- We pay all server, platform and add on fees.
- Quarterly incentive fees are approved by the client prior to being deducted.
- Allocations can be changed at any time.
- Liquidity 2 to 48 hours in any major currency.
- Minimums $12,500 to $500,000.
How balances are guaranteed plus or minus trading activity
Every firm we use segregates customer accounts, balances are guaranteed plus of minus trading activity the Financial Safeguard System the FSS has protected customer balances for over 100 years with zero defaults, unlike SPIC that protects balances up to 500,000 or FDIC up to 250,000 the FSS has no limit.
To open an account please complete this form my team will match your criteria to a brokerage firm on this list that can accommodate the markets, programs you want to trade and your regulatory jurisdiction.
Educational videos and resources
If you’d like to learn more about Automated Trading Accounts (ATAs) contact me. My current date & time is October 2, 2023 11:38 pm I’m available from 7 am to 7 pm Monday through Thursday, 7 am to 2 pm on Fridays, off hours text, Skype or on site message me with a call back date and time (please use your local time zone).
Peter Knight Advisor
Direct VI Phone +1-340-244-4310
Skype:: Peter Knight Advisor
Message me
Peter_Knight@peterknightadvisor.com
Disclosure