Well the S&P500 is up around 5% this year, but I am up just 3%. I have kept a high cash balance though, so this is expected while the strong market uptrend continues. I plan to place small size short trades next week around my core long only strategy. As we all know, markets do correct eventually. I am eager to see how well I can navigate the markets when crashes occur. So far, have matched the portfolio back tester very well, which is encouraging. I’ll post comparisons for the month next week.
Total Net Profit $2,898.16
Gross Profit $2,898.16
Gross Loss $0.00
Profit Factor n/a
Total Number of Trades 24
Percent Profitable 100.00%
Winning Trades 24
Losing Trades 0
Avg. Trade Net Profit $120.76
Avg. Winning Trade $120.76
Avg. Losing Trade $0.00
Largest Winning Trade $306.82
Largest Losing Trade $0.00
Max. Consecutive Winning Trades 24
Max. Consecutive Losing Trades 0
Total Commission $37.30
Return on Initial Capital 2.90%
Annual Rate of Return 27.46%
Buy & Hold Return 18.17%
Trading Period 1 Month, 7 days