Signal Central Portfolios

Portfolio 110 icon

PORTFOLIO 110

Portfolio 110 trades the S&P 500 (@ES) contract with normal activity. It typically trades once per day based on two systems that do not hold positions over night (day session only).

Portfolio Highlights:

  • S&P 500 (@ES)
  • Normal Activity
  • Day Session Only
  • Geeba trades 30 min bars
  • Megrez trades 27 min bars
  • Price $97/mo

Performance Metrics*

System

Geeba

Megrez

Avg Trade

$81

$62

AWAL

1.23

1.10

Largest Loss

-$1821

-$2646

Max DD

-$7732

-$6947

Annual ROC

39.7%

38.6%

PORTFOLIO 120

Portfolio 120 trades the S&P 500 (@ES) contract activity. It typically trades three times per day based on four systems that do not hold positions over night (day session only).

Portfolio Highlights:

  • S&P 500 (@ES)

  • High Activity
  • Day Session Only
  • Turais trades 45 min bars
  • Laris trades 27 min bars
  • Mimosa trades 39 min bars
  • Kursa trades 39 min bars
  • Price $197/mo

Performance Metrics*

System

Turais

Laris

Mimosa

Kursa

Avg Trade

$45

$43

$50

$42

AWAL

1.14

1.24

1.21

1.51

Largest Loss

-$2608

-$2777

-$2302

-$2150

Max DD

-$6606

-$8919

-$6363

-$6222

Annual ROC

40.2%

37.4%

37.7%

38.8%

PORTFOLIO 130

Portfolio 130 trades the S&P 500 (@ES) contract with normal activity. It typically trades twice per week based on three systems that can hold positions over night.

Portfolio Highlights:

  • S&P 500 (@ES)
  • Normal Activity
  • Position Trading
  • Ursa trades 45 min bars

  • Zaurak trades 27 min bars
  • Udra trades 39 min bars
  • Price $97/mo

Performance Metrics*

System

Ursa

Zaurak

Udra

Avg Trade

$297

$236

$217

AWAL

1.27

1.12

1.33

Largest Loss

-$3571

-$4114

-$3677

Max DD

-$10638

-$11707

-$11806

Annual ROC

51.3%

51.4%

47.6%

PORTFOLIO 140

Portfolio 140 trades the NASDAQ (@NQ) contract with low activity. It typically trades once per week based on three systems that can hold positions over night.

Portfolio Highlights:

  • NASDAQ (@NQ)
  • Low Activity
  • Position Trading
  • Lulu trades 18 min bars
  • Zosma trades 34 min bars
  • Draco trades 39 min bars
  • Price $97/mo

Performance Metrics*

System

Lulu

Zosma

Draco

Avg Trade

$220

$195

$153

AWAL

1.21

1.11

1.06

Largest Loss

-$4875

-$4368

-$4268

Max DD

-$11488

-$10560

-$9553

Annual ROC

30.6%

27.0%

24.2%

Disclaimer

All trading involves risk. Leveraged trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to invest in the futures and options markets. Don’t trade with money you can’t afford to lose. This is neither a solicitation nor an offer to Buy/Sell futures or options. No representation is being made that any account will or is likely to achieve profits or losses similar to those discussed. The past performance of any trading system or methodology is not necessarily indicative of future results.

Our strategies have not been developed based on knowledge of or with reference to your particular circumstances, such as financial position, goals, risk-reward preferences, tax situation, brokerage arrangement, investment or trading experience, and so forth. Hence no content or model published here constitutes a recommendation that any particular security, portfolio of securities, transaction, or investment strategy is suitable for any specific person. You alone are solely responsible for determining whether any investment, security or strategy, or any other product or service, is appropriate or suitable for you based on your investment objectives and personal financial situation.

In accordance with the Commodity Futures Trading Commission and the National Futures Association, it is our obligation to remain transparent and clear about the expectations of our trading systems and the possibility of risk and loss. Any investment will maintain a level of risk, this is unavoidable and no system will guarantee or is possible to achieve consistent profitability. Signal Trading Group is no exception and will encounter periods of extended losses or drawdowns. Please trade only what you would be willing to lose.

U.S. Government Required Disclaimer – Commodity Futures Trading Commission Futures and Options trading has large potential rewards, but also large potential risk. You must be aware of the risks and be willing to accept them in order to invest in the futures and options markets. Don’t trade with money you can’t afford to lose. This, and all other information on our website, is neither a solicitation nor an offer to Buy/Sell futures or options. No representation is being made that any account will or is likely to achieve profits or losses similar to those discussed on this web site. The past performance of any trading system or methodology is not necessarily indicative of future results.

CFTC RULE 4.41 – HYPOTHETICAL OR SIMULATED PERFORMANCE RESULTS HAVE CERTAIN LIMITATIONS. UNLIKE AN ACTUAL PERFORMANCE RECORD, SIMULATED RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, SINCE THE TRADES HAVE NOT BEEN EXECUTED, THE RESULTS MAY HAVE UNDER-OR-OVER COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED TRADING PROGRAMS IN GENERAL ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFIT OR LOSSES SIMILAR TO THOSE SHOWN.

* Performance Metrics updated as of 8/15/19