Trading Methodology – The Forecast

Trading Strategy

We’ve designed our trading strategy to be both profitable and practical.  Statistics prove day trading requires immense amounts of time to generate even a small return.  Meanwhile, buy-and-hold strategies net an average S&P return of 10% per year.  Ten percent is great for asset managers and high net worth investors; it’s a tremendous amount of money on an eight figure portfolio.  But clients of our online platform are not investing eight figures.  We accordingly maximize the value of every dollar by trading as efficiently as possible – only a few times each month.  Our wealth is made through capturing large trending moves on the least number of trades possible.  Trades will last an average of 1-4 weeks and are plaved at key moments of opportunity to generate significant profit.  We do not trade often but we trade smart.