Mars måned er over. Grafen på bildet er ikke en normalfordeling, men P/L for 2020. Som @PeterCWarren sier: bare å sette det på kontoen for voksenopplæring. YOLO-strategien må revideres. Er fremdeles opp 64% i år, selv om det ikke synes på grafen.
I am going to host a conference call where I outline the strategy that has made me 8 figures+ and a consistent trader for the past 13 years.
Like & Retweet to get a Free Copy when it’s released ✅
Topics will Include:
- My trading philosophy
- Common pitfalls newer traders make and how to avoid them
- My biggest winning and losing trade
- Market outlook for the rest of 2024 and how I intend to capitalize on it
In the past week, we received numerous requests from traders who read our new paper:
Beat the Market: An Effective Intraday Momentum Strategy for S&P 500 ETF (SPY)
We have selected the most relevant questions and provided the results below
1⃣ What percentage of days did the strategy trade?
The strategy presented in the paper traded on average 60% of the days.
2⃣ Does the strategy make more money from Longs or Shorts?
Overall, the Long trades made 25% more than Short trades, but both sides have been significantly profitable. Considering that the SPY advanced substantially from 2007 to 2024, the profits from Short trades are remarkable!
3⃣ How do the results change if we choose a different lookback period for calibrating the Noise Area?
In our base strategy, we used the last 14 days to estimate the Noise Area. We tested other window lengths, ranging from 5 days to 90 days. As shown in the attached table, the lookback period with the highest Sharpe Ratio is 90 days.
4⃣ Monthly/Yearly Performance Table
The most remarkable feature is the positive asymmetry of yearly returns. In the worst year (2016), the strategy lost 12.8%, while in the best years (2008, 2018), the portfolio increased by more than 60%.
You can read the full paper for FREE here -> https://t.co/20AtthLkD9
@BearBullTraders@GaryAntonacci@Andrea_Barbon@FalcoLeo8@kalpatrader@trader_high_vol
Looking at $TSLA's call options, the largest near-term OI sits at 5 Nov expiry $1,200 and $1,300 strikes.
The 1,200 strike has been one of the most traded options this week.
If $TSLA stays >$1,200, that option's delta has to get to 1 by EOD tomorrow.
Currently delta is ~0.79.
@5ft10Man@HunterOfCheetos @Michigandolf @_sierratrading I'm doing remote desktop to my Sierra PC from my iphone. I can place and manage trades on the go. It's not great, but it works.
Her er et interessant chart. S&P stocks over 50D average. Betyr ikke at vi nødvendigvis skal ned, men historisk har dette chartet vært fin å kjøpe SPY når den når bunnen av kanalen. Shorte toppen anbefales ikke uten videre.
Dette er 3 minutter med gullkorn. Dette er tankegangen bak mine trades siste måneden. Gjør deg selv en tjeneste og spander disse 3 minuttene på dine fremtidige trades. Gjelder i høyeste grad futures intraday også!
https://t.co/ho0T2oPdPg
Let me introduce myself. My name is Dossi, Carlo Dossi. You might remember me from such threads as the short $TSLA thread. In the last few days, I had to buy a 2nd Casio to tackle an even bigger scam than $TSLA. Who wudav thought one existed! Yet $ARKK sure looks like one.
(1/N)
Mr. Potato Head is no longer a mister. Hasbro, the company that makes the potato-shaped plastic toy, is giving the spud a gender neutral new name: Potato Head. The change will appear on boxes this year. https://t.co/yUAO4bVYG0
TSLA-traden gikk dårlig-ish. Den touchet long-striken min, men jeg solgte ikke. Var sikker på at den skulle videre ned. Tok det igjen med en SPX 3925/30 spread. Betalte $0.75, utløpte på $5. God helg!
Kjøpte en $TSLA lotto i går rett før close. 785/780 put spread. Betalte $0.57 ($57) for spreaden. Håpet er at TSLA closer under 780 i dag så spreaden utløper med $5 ($500) i verdi.
Kjøpte McDonalds i dag. Føler meg skitten. 19. mars 220/230 call spread. Betalte $2.1. Målet er at MCD skal være over 230 19. mars så jeg får solgt for $10.