How to read the value for a steepener trade such as: long 1x\ZT short 1x\ZN?
Currently the spread is trading at -21'22'4
What if it gets at -21'00'0 ?
Thanks
This is all time high. Buying pressure is obvious. Yet, who is selling? Market never traded at this level. Nobody did buy those shares at this price before. On the sell side I see little short sellers and those who bought the market at lower price some time ago (Roll Over).
There's unvisible...
This might sound bizarre; does it make sense to apply trend following rules (short term breakouts) to V2X front month futures even though the underlying is mean reverting by nature?
V2X futures tend to go 'down the stairs' (contango) and 'up the elevator' (volatilty spike).
Positive skew rules...
GAT
I would like to add this question about your blog post on futures and minimum capital requirement.
Basically, below 10000 EUR only V2X (VSTOXX) futures can be traded. I fully agree with this.
Yet, how about relative value (statitical arb) trades?
Long /ZT short /ZN (2s10s curve...
Those are rules about risk, position sizing and volatility. TurtleTraders than traded trendfollowing rules within this structure as they were fully systematic.
How does that change should I pyramide (adding to the winners)?
Let's go back to a few weeks ago when SPY was at 301.60 and average true range at 7.76
I buy 6 shares at 301.60 = $1809.6 (18% of my capital)
Stop loss is at 286.08 (2 times ATR = 15.52).
I will add one more unit of risk (1%)...
SPY etf last close price $311.81
ATR is 'average true range' indicator to calculate SPY volatility (I like this better than standard deviation). Currently is at 6.81
2 times ATR is 6.81 x 2 = 13.62 so my stoploss will be at $311.81 - 13.62 = $298,19
My trading capital is $10000 and I am...
Total Market Cap vs GDP reached 146.30% today. Sep 30, 2018 was at 146%. Market is getting closer to Mar 30, 2000 148.50% all time high.
Bullish sentiment is above 40% for the fourth times over the past 52 weeks.
https://ycharts.com/indicators/us_investor_sentiment_bullish
Minsky moment...
My unit of risk per bet is 1% of my capital. Volatility determines how I should dimension the trade (2xATR). That normally results in a 20% equity being traded. Is that basically the 'annualized volatility target' mentioned in Systematic Trading?
Since I am trading trend following rules...
"the extent to which U.S. economic indicators exceed or fall short of consensus estimates. An economic report with better-than-expected news is assigned a value of 1; a report with worse-than-expected news is assigned a value of -1; a report meeting expectations gets a 0 value. Add up the values...