first target 23.87.
Bought TMF on this pullback to the demand zone highlighted in yellow which sits at former resistance and should be acting as support. Use the TLT chart as a reference for entry, exit and targets. Entry: 101.26 Stop Loss: 98.73 Target 1: 108.00
Q4 Return : 19.9 % 2014 Return : 66.1 % Volatility : 16.7 % MAX DD : - 8.11 % We are rebalancing the positions for tomorrow. Cheers
This strategy finish the quarter with a positive return of 6.20 %. We are re-balancing the portfolio for the new Quarter starting tomorrow YTD return : 36.2 %. Cheers Algo
This strategy finishes the quarter with a + 14 % return , 3.8 % in April, 7.7 % in May, and 2.4% for June. For 2014 it is up 29 % . However the volatility is very high at 20.6 %. We are re-balancing the portfolio for the Q3 , 2014. Again , this system is for educational purposes only. Next update will be on 7/30/2014. Cheers Algo
DISCLOSURE : This post is purely for educational purposes ONLY ! Do not risk real capital on this strategy. Again, purely for education purpose ONLY ! Strategy : This strategy is very simple. We invest in 50 % in S&P 500 ,and 50% in 20 years treasury. Now to maximize return, we are going to invest in 3X leverage ETFs, UPRO ;Proshares UltraPro S&P500, and TMF;...