I am looking for a successful trader to operate a successful US Equity strategy on 10 securities (MidCap to LargeCap),
Strategy is rebalanced monthly with a holding period of 4 weeks to 12 weeks, strategy can have short term reversion in the early life, but in the long run (12 weeks max), the performance will be there. Performance have been between 50% to 90% annually, with a drawdown of about 45% over 1 year.
You need a solid stomach as the strategy will not do well in a bear market, but will recover very quickly once the market over reaction has passed.
A good trader could play the "volatility" of those securities, and make a killing in the long run as those securities are long term play and will prevail (fundamentally strong).
Anyone interested, let me know.
Strategy is rebalanced monthly with a holding period of 4 weeks to 12 weeks, strategy can have short term reversion in the early life, but in the long run (12 weeks max), the performance will be there. Performance have been between 50% to 90% annually, with a drawdown of about 45% over 1 year.
You need a solid stomach as the strategy will not do well in a bear market, but will recover very quickly once the market over reaction has passed.
A good trader could play the "volatility" of those securities, and make a killing in the long run as those securities are long term play and will prevail (fundamentally strong).
Anyone interested, let me know.