Our Stack Trade system has one goal and
that's to Make Money-- period.
We are traders ourselves and use
these indicators to trade our own accounts. We are not full of
gimmicks and gadgets. We have done as much development,
experimentation and trading, simulated and real, as any other
trader. We started trading the ES
then added the ER,
TY,
EC and finally the 30
year bonds.
The indicators work on all markets but we have decided to focus
on the ES (Emini S&P 500)
233 tick timeframe because it tends to have better 'flow' than
the others and liquidity should never be an issue. We have
experienced issues on other markets (ER)
where we have not been able to fill the number of contracts we
were trading on most winners and we were always able to fill the
full amount on the losing trades.
The ES is only
$12.50 per tick/contract so
we are able to reduce risk while looking for larger targets.
Every trade setup we have has defined risk BEFORE you enter the
trade. You
KNOW
going into EVERY trade what your risk is
AND
what you profit target is. In all the recaps we only calculate
the
MINIMUM
targets. If you watch the "Target Discussion Video" you will see
how you can really capitalize on the the flow of the markets and
take
MUCH MORE
money out of the markets daily. You can trade as many contracts
as you want!
Below you can see where the
trade setups were signaled and how they performed! If you look
at the 'Daily Recap' link you will see how we have done for at
least the past 6 months.
We list ALL Winners & Losers. No Fluff! No Smoke,
No Mirrors!