This is a very simple system that performs exceptionally well. First, it trades almost exclusively in the overnight ES market and the average hold time is less than half a day, so the total market exposure time is super-small. Last year there were 17 trades and a 100% win rate. In fact, the last losing trade was back in 2012. Usually, this kind of success is achieved with Martingale trading but there is absolutely none of that going on. With a 7 year track record, I believe the system can be safely traded with 200% scaling on a $30,000 account to return 15%/year. The subscription price is low. It isn't a get-rich-quick system but I find that slow and steady wins the race.
Trader adds to losing positions (Martingale) and was unresponsive to concerns. Said on signup that he would place protective stops but this wasn't done. Takes small gains and lets losers run. Gave up all gains so recommend staying away.
Excellent strategy, made of multiple substrategies, which explains the low drawdown. The strategy has stops in place. I don't know how those who complain it doesn't don't see the stops in their account... Also, yes there was a DD recently, I believe around 8%, which is still quite far from the max. All strategies drawdown. Communication is excellent and backtest solid to 2001.
Very good strategy, I like that it's uncorrelated to my other ones. Active and responsive strategy owner. Be careful with scaling as it can also drawdown quite a bit, rarely, but it will, and holds positions overnight.
Excellent returns in the last 45 days. Previous track record seems to be fairly consistent as well. Hoping there is no serious draw down since the strategy seems to be zooming upwards as if on steroids. I have seen other strategies that have done well in the past suddenly stagnate.... so hope (again) that this one continues the good trend. Also, this strategy is TOS so I am more comfortable with it.
I've been a subscriber for more than a year. Very impressive results so far. I like that it trades something which is not directly correlated to the stock markets.
Have been trading since September 2017 so far has been nailing the Eurostoxx 50. Like the strategy says - simplicity - it has been pretty simple so far. Does not send out stops or limit buys/sell just market orders when it wants to enter/exit.
it seems this leader is a genious. I got some very satisfying from him. Unfortunately he modified the strategy a little. I now decided to free my Live-Account for an other strategy (robot-strategy) initiated by NinjaTrader. Thank for your work so far.
I've been very pleased with the performance of this strategy - have been trading at 50% scaling for over 6 months. Most importantly, for me, David is ab excellent communicator and sticks to his algorythm without letting emotion dictate his trades. When you zoom out and look at the longer term this is really important. I'd rather peace of mind over riskier short-term gains.
Would definitely recommend!
I was lucky to find this strategy. It is "under the radar" because the returns are numerically low so it doesn't climb to the top of the leader board. BUT, unlike most C2 systems, it is UNDERleveraged and the actual returns can be much higher. Trade it at 300-400% scaling to match most other C2 systems. The market exposure is very very low. The win rate is very high but there isn't any Martingale. It is a steady income generator.
Professional system, It has unique behavior comparing to other systems trading the Vix and related products.
The low volatility related to high Returns gives a lot of confidence and is one of its biggest key features.
I'm watching Mr Peterson for a while and it seems that the systems are kind of hedge-fund strategies in terms of money management and asset allocation.
Lets all hope it will just keep going same way.
Mr Peterson, Thanks in advance...