Experienced trader/Fund manager looking for a prop firm

But I have a nice track record, 10%/year (net of fées), 7.5 % volatility, 6 % DD on 6 years on my prop account (real money, certified by accountant). Its 9000 round turn/million (à lot) and average MTE at 20%. Can be leveraged 2 to 2.5x as its a managed account structure. Its only commodities with average holding around 2 weeks.
I am just a mom and pop retail options trader so have no idea what is out there. What is the professional's opinion about this level of performance? The reason I ask is in the last 6 years, SPY returned around 15%.

Thanks.
 
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