subscriber since October 2018. Lost money. Nothing worse than loosing money, sell take the opposite position and then loose more money. Tech Savvy timing is poor. Beware!!! Only one making money is Tech savvy
Interesting strategy, at 10% scaling i am making $100 a month to recover the strategy fees. The problem with scaling is that options require a very high margin so scaling is not that easy. Will wait and watch another month. Not making money at 10% scaling but not losing money either
I have this strategy for more than a month and I have lost about $400 so far at 1% scaling. I think this will be last month as there seems to be no chance of recovery. Additionally the trader is making just 1 trade a month so it is difficult to make recoveries if the trade loses money. Averages of a strategy don't really work at about 20 trades a year
I have been subscribed to this strategy for almost a year now. Performance has been good and the strategy developer is knowledgeable and straight-forward. The strategy employs fixed stops and fixed sizing and is highly automated, which gives peace of mind, especially when trading a leveraged instrument like futures (as far as I have seen, futures strategies without stops and fixed sizing rules seem to blow up regularly on C2).
Too early to tell yet - but way too risky without hard stops within a 5% account balance risk range - I appreciate that these need some flexibility with volatility, but no reason not to use them at all, or have them so big it makes the R:R way too high/unacceptable. I don't like systems which spring a biggish loss out of the blue after a good run - the opposite should be happening, by protecting *** profits, especially around what is usually a very volatile time of year over Christmas and New Year.
I only previewed this system for 30 days, but the trader is very disciplined with stops and taking profits. His track record speaks for itself, but I think that perhaps using this system with a an additional inputs may raise the w/l ratio which is why I was looking at it.
Attrocious strategy. The trader took the wrong decision in December and just held it, losing 97% of the portfolio according to C2. I tried to politely interact with him/her and never received a reply
Often increases the size of losing positions but isn't afraid to get out and take a loss if needed. So far the drawdowns have been manageable and the overall return has been good. The last few months have been a bit challenging but overall the system has been doing well.