Silver rose sharply again today; the rest of the algorithmic portfolio did not stand out.
PORTFOLIO SYMBOL ENTRY CLOSE STOP PROFIT DAYS
Long Euro ECZ10 136.39 136.26 134.54 -$162 4
Long Euro FXE 136.25 136.36 134.64 0.1% 4
Long Platinum PLF11 1668.90 1665.50 1641.90 -$170 4
Long Platinum PTM 19.92 19.76 19.48 -0.8% 4
Long Aussie ADZ10 98.61 98.62 97.01 $10 1
Long Aussie FXA 99.04 99.16 97.54 0.1% 1
Long Russell TFZ10 729.40 727.10 697.90 -$230 1
Long Russell IWM 72.17 72.80 69.88 0.9% 1
Long Silver SIZ10 27.590 27.461 27.45 -$645 1
Long Silver SLV 26.64 27.17 27.16 2.0% 1
Long Soybeans SF10 1196.00 1221.50 1210.00 $1,275 1
No new signals for tomorrow.
If you wish to be notified of new posts, let me know at bassanalytics@live.com. I will send you an email every time there is a new post.Any views expressed herein are provided for informational purposes only and should not be construed in any way as an offer, an endorsement, or inducement to invest. Past performance is not indicative of future results. Investors should discuss any investment with their personal investment counsel. The quotes and symbols used in the BLOG are believed to be reliable, but no guarantees are made with regard to the accuracy. We may have positions in one or more of the ETFs or futures of the computer-generated signals.
Our purpose is to quantitatively analyze markets to identify trends and over-bought/over-sold situations. We use computer programs applied to large amounts of data and trade markets by mathematical algorithms. We track these algorithmically-generated trades with ETFs and Futures. This BLOG is provided free of charge. Any views expressed herein are provided for informational purposes only and should not be construed in any way as an offer, an endorsement, or inducement to invest.
Historical Returns
The following represents the BLOG's 2010 ETF returns vis-a-vis other benchmark investment measures:
------------$Initial-----%Growth----$Return-----$Result
BLOG-----$100,000----26.6%-----$26,646-----$126,646
S&P 500--$100,000----12.8%-----$12,783------$112,783
1.5% CD--$100,000-----1.5%----- $1,500-----$101,500
S&P result excludes dividends.
Return on one Futures Contract: $137,684 (roughly margin of $25,000 to $50,000).
Please see the BLOG page on "Shortcomings and Limitations."
------------$Initial-----%Growth----$Return-----$Result
BLOG-----$100,000----26.6%-----$26,646-----$126,646
S&P 500--$100,000----12.8%-----$12,783------$112,783
1.5% CD--$100,000-----1.5%----- $1,500-----$101,500
S&P result excludes dividends.
Return on one Futures Contract: $137,684 (roughly margin of $25,000 to $50,000).
Please see the BLOG page on "Shortcomings and Limitations."
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