Quote from macrotrader:
I have looked at the backtest results and followed the discussion on what I would call the 'averaging problem'. After a lot of work in this area I have concluded that end-of-day tests of this type can be biased and in some cases completely unreliable.
Current Holdings:
UFPI ($174.00) -6.82% 25.50 100 $2,550 Univl Forest Products
SLV ($90.00) -2.68% 33.54 100 $3,354 iShares Silver Trust
KBW ($66.00) -3.46% 19.07 100 $1,907 KBW Inc
AIXG ($61.00) -0.62% 32.89 300 $9,868 Aixtron SE ADS
GRMN ($24.70) -0.76% 32.36 100 $3,236 Garmin Ltd
AU ($2.18) -0.05% 40.05 100 $4,005 Anglogold Ashanti Ltd
DWA ($15.00) -0.74% 20.28 100 $2,028 DreamWorks Animation SKG Inc
ATPG ($9.53) -0.65% 14.75 100 $1,475 ATP Oil & Gas
BK ($5.00) -0.20% 24.70 100 $2,470 Bank Of New York
BCS ($1.00) -0.06% 15.40 100 $1,540 Barclays Plc ADS
GEOI $4.00 0.20% 20.06 100 $2,006 GeoResources Inc
EXH $13.89 0.72% 19.38 100 $1,938 Exterran Hldgs Inc
FST $31.00 1.26% 24.62 100 $2,462 Forest Oil Corporation
STRI $34.00 2.45% 13.86 100 $1,386 STR Holdings Inc
PETD $42.00 1.46% 28.71 100 $2,871 Petroleum Development
CWEI $175.00 3.24% 53.98 100 $5,398 Clayton Williams Energy
EWI $250.00 2.19% 16.30 700 $11,412 iShares MSCI Italy Index Fd
Real-time Account Net Worth $72,479.75
Beginning Day Account Net Worth $71,848.77
Real-time Unrealized P/L $101.48
Real-time Realized P/L (Today) $346.09
Real-time Account Net Worth $73,077.99
Beginning Day Account Net Worth $72,468.78
Real-time Unrealized P/L $0.00
Real-time Realized P/L (6/28/11) $700.21
Quote from benwm:
Hi Rol
Maybe you already addressed this question somewhere in the thread, but I noticed you also trade ETFs from time to time. What % of your trades occur in ETFs and how did you determine which ETFs were suitable for trading, in terms of liquidity, bid-ask spreads, etc? Do you have a short list of 50-100 ETFs, say, and does this include commodity ETFs or bond ETFs?
It would be interesting to seperate the results from regular stock trades and ETF trades. Of course, long regular stock is long the averages, but some ETFs are short the averages in the sense that they were created to gain from stock price declines.
If the results for ETFs and stocks were similar you might be able to reduce overall stock directional bias but including a higher proportion of ETFs that are directionally short?
I would suspect that many ETFs would behave differently to regular stocks...
Is that something you have considered?
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Total Net Profit $2,314.80
(Per Share) $0.09
Gross Profit $9,963.12
Gross Loss ($7,648.31)
Profit Factor 1.3
Total Number of Trades 208
Percent Profitable 62.50%
Winning Trades 130
Losing Trades 78
Avg. Trade Net Profit $11.13
Avg. Winning Trade $76.64
Avg. Losing Trade ($98.06)
Ratio Avg. Win:Avg. Loss 0.78
Expectancy 0.11
Largest Winning Trade $566.00
Largest Losing Trade ($576.25)
Max. Consecutive Winning Trades 18
Max. Consecutive Losing Trades 7
Total Shares/Contracts Held 24700
Total Commission $479.80
Return on Initial Capital 3.56%
Annual Rate of Return 42.58%
Buy & Hold Return -0.23%
Trading Period 30 Dys
Max. Equity Run-up(Daily) $7,098.33
Date of Max. Equity Run-up 6/29/2011 15:00
Max. Drawdown(Daily)
Value ($5,101.59)
Date 6/8/2011 15:00
as % of Initial Capital 7.84%
Max. Trade Drawdown ($662.00)
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[color=green][b]
Initial Capital $47,853
Total Net Profit $21,261.48
(Per Share) $0.14
Gross Profit $53,744.09
Gross Loss ($32,482.61)
Profit Factor 1.65
Total Number of Trades 1269
Percent Profitable 62.96%
Winning Trades 799
Losing Trades 469
Avg. Trade Net Profit $16.75
Avg. Winning Trade $67.26
Avg. Losing Trade ($69.26)
Ratio Avg. Win:Avg. Loss 0.97
Expectancy 0.24
Largest Winning Trade $1,936.09
Largest Losing Trade ($796.50)
Max. Consecutive Winning Trades 29
Max. Consecutive Losing Trades 38
Total Shares/Contracts Held 148539
Total Commission $3,121.34
Return on Initial Capital 44.43%
Annual Rate of Return 73.38%
Buy & Hold Return -1.69%
Return Retracement Ratio 2.53
Trading Period 5 Mths, 29 Dys, 23 Hrs, 59 Mins
Max. Equity Run-up(Daily) $21,628.32
Date of Max. Equity Run-up 6/29/2011 15:00
Max. Drawdown(Daily)
Value ($5,498.87)
Date 6/8/2011 15:00
as % of Initial Capital 11.49%
Max. Trade Drawdown ($1,511.50)
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