Monday, March 3, 2008

LONG
U.S. banks: 22%
Russell: 17%
Japanese/Asian equities: 15%
Energy stocks: 13%
S&P 500: 12%
NASDAQ 100: 9%
Gold stocks: 7%
Long-dated bonds: 7%
Natural gas: 6%

SHORT
-

CASH
19%

Note: Positions are as of March 3, 2008. Numbers may exceed 100% due to leveraged trades or may not equal 100% due to rounding.

3 comments:

Anonymous said...

Alex, I am using your COT system to trade. In the year 2007, how much gain (%) did you have in your trading fund (profile). Thanks for sharing your system with me. It is not often someone will do as you have done, thinking of the small trader and his/her need of solid information. Jack Young

Alex Roslin said...

Hi Jack,

I haven't calculated that information because I scaled into trading it as I developed and improved it through last year. In many cases, I entered signals when they were already ongoing because I had just developed a setup in that market. I hope to start compiling that kind of info for this year and beyond.

Regards,
Alex

Anonymous said...

Alex, This is great work. I hope you make a mint. Regards, Dale.