SR COUNTERTREND PORTFOLIO

SRCT-Portfolio

The SR CounterTrend Portfolio is a 40 market/methodology combination of our SR CounterTrend strategy group.

This portfolio is a countertrend only portfolio and trades the E-mini S&P, E-mini Nasdaq, Gold, Silver, Crude Oil, RBOB, Natural Gas, and Soybeans.

The portfolio is mostly daytrade. Only 4 of the 40 strategy combinations would potentially hold trades overnight. It is rare to hold a position overnight in this portfolio.

The trading methodology in this portfolio is ideal for diversity from traditional passive investing and is classified as active asset management. 

SR CounterTrend Portfolio
Hypothetical Performance Summary
$25 Round Turn Slippage and Commission
1/1/2008 – 09/30/2020
SRCT-Portfolio-II-III-IV-2020-09-30

*The SR CounterTrend Portfolio Annual Subscription license includes three variations of SR CounterTrend including II, III, and IV and trades 40 different market/strategy combinations with up to 10 contracts per strategy. 

Additional contracts will require additional subscriptions.

SR COUNTERTREND PORTFOLIO

$3,950.00 / year

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