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Macro Futures $50k Trading System
To learn more about this system,
Call 312.987.0043 or Email us» . |
Developer: Macro Objective |
Market Sector: | Diversified / Multiple |
Markets Traded: | |
System Type: | Swing Trading |
Risk per Trade: | varies |
Trading Rules: | Not Disclosed |
Suggested Capital: | $50,000 |
System Cost: | $250.00 Monthly Subscription |
Results Available?: | Contact us for Info |
System Description: | Macro Futures $50,000 is a diversified core holding type of strategy for investors that would like a more all-terrain approach since it can participate in rising or falling markets across seven major asset classes comprised of nine different markets. The Strategy is a culmination of 20+ years of professional experience, study and operating in the futures markets by its publisher that seeks to compound profits in most economic conditions more often than other diversified strategies. The strategy is also designed to be adaptive incorporating direction, momentum & volatility to determine when to enter and exit positions with an objective to maximize trade efficiency and structured to reduce false signals. Position sizing is also driven by volatility metrics and account value so it aims to trade smaller during more volatile times and larger during more calm markets to hopefully create a more stable risk / reward profile in different economic environments. Positions are often held up to 10 days at a time in an effort to enhance trade efficiency. The strategy trading style is a structured approach instead of a discretionary or systematic one, meaning that it has rules to trade by but also uses human input to update parameters as required with the objective of adapting more dynamically to changing market profile. Using this type of approach intends to create a multifaceted trading edge with the goal of a positive expectancy over a large group of trades. An investor should intend to pursue this strategy for at least twelve months to accommodate any periods of market profile shifts. Macro Futures doesnt rely on predicting an unknowable future. The strategy operates by defining a framework on what is presently happening in each specific market, then uses a set of rules to judge it by and then updates that framework as required to create a more robust approach to ever changing market behavior. 10 Yr Notes, Copper, Sugar, Cotton, Soybean, Chicago Wheat, Live Cattle, Mini Crude Oil, Micro S&P 500. |
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