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Become A Member

Our Platinum subscription is designed for traders who want access to a larger collection of backtested strategies without purchasing them individually.

For $1,990 per year, you receive:

  • 3 strategy bundles of your choice

  • 15 additional strategies selected from our strategy list

  • 10 new strategies during your second year—one each month, except July and December

  • In total: 34 backtested trading strategies

  • Our backtesting and trading courses

  • Candlestick patterns tested, ranked, and delivered with code

  • Trading rules for more than 200 strategies

  • Access to approximately 300 articles covering trading rules and research

The total value is approximately $5,000, which means the Platinum subscription saves you around $3,000 compared with purchasing everything separately.

More importantly, it gives you a broad selection of strategies across different markets, indicators, and trading styles. This can make it easier to build a diversified portfolio rather than depending on one or two strategies.

Best regards,
Oddmund Groette and Håkan Samuelsson

  • 📺 Trend Strategy That Beat Markets for 100 Years and Cut Risk 👉 View here

  • 📺 Gold Trend-Following Strategy 👉 View here

2 Historically Profitable Trend-Following Strategies (12% Annually)

Performance

  • No. of trades: 15

  • Average gain per trade: 21%

  • Win ratio: 53%

  • Profit factor: 8

  • Annual returns (CAGR): 7.1%

  • Exposure/time in the market: 56%

  • Risk-adjusted return: 12.6%

  • Max drawdown: 13%

3 Market Timing Models That Improve Investment Returns

Performance

  • CAGR is 6.95% (buy and hold 4.90%)

  • The standard deviation is 9.87 (17.96)

  • Time spent in the market is 56.20%

  • Risk-adjusted return is 12.34% (CAGR divided by time spent in the market)

  • Total trades were 31

  • Maximum weekly drawdown is 16.38% (56.52%)

Donchian Breakout Strategy

Performance

  • No. of trades: 78

  • Average gain per trade: 4.9%

  • Win ratio: 51%

  • Profit Factor: 2.7

  • Annual returns (CAGR): 7.5%

  • Exposure/time in the market: 72%

  • Risk-adjusted return: 10.3% (CAGR divided by time spent in the market (0.72))

  • Max drawdown: -18%

Stocks Rally Despite August’s Weak History

The VIX Just Triggered a Rare Market Signal

Is Gold Ready for Its Next Move Higher?

Defensive Sectors Sink to a New Relative Low

Best,

Oddmund Groette & Håkan Samuelsson

We appreciate the support! It means a lot!