Strategic Analysis Indicators Weekly ATR Long Only Strategy Portfolio Valuation As of close Business on January 29th 2021
SAI Investings Algorythm has enjoyed a great stat to 2021 and started where it left of in 2020 with our Elite Proprietary Weekly Advanced Trend Reversal Long Only Strategy showing great gains over SPY and QQQ at the month end.
At the close of business on January 29th, 2021 the Strategic Analysis Indicator’s (SAI) Weekly ATR Long Only Strategy reported further growth of +3.64% for January increasing its performance levels over a 4 year period when it’s compared to SPY and QQQ.
The SAI Elite Proprietary Weekly ATR algorithm generates a single Trading Single on a weekly basis which is valid from Monday to Monday.
This is the only algorithm that has this Technological capability
The Srategic Analysis Indicator Weekly ATR strategy is designed with the sole aim of keeping our clients in the same position for multiple months as long as there is a trend in the market.
The 8 stocks in this portfolio show that using the Advancesd Trend Reversal Long only strategy with the SAI Elite Algorithm compared to SPY and QQQ has given excellent results over the comparison period.
This eight group portfolio consists of a variety of stocks:
- Apple
- Shopify
- Tesla
- Netflix
- Amazon
- QLD – ProShares Ultra QQQ
- Roku Inc
- Zoom
Historical performance Comparision of The Strategic Analysis Indicator
As previoulsy mentioned, The Strategic Analysis Indicator is designed to capture 75% + of an up or down move in the S&P, the NASDAQ (tech stocks), Small Cap stocks, and other specific sectors.
Furthermore, The table above represents a four year comprision of this Portfolio choice when it is used with SAI Investing’s Strategic analysis Indicator and comared to SPY and QQQ.
SAI : 183.89%
SPY : 44.18%
QQQ : 78.38%
The statistical numbers in the images above show how powerful this algorithm can be and it is here or you to trial at any time on a 15 day period for Free
We offer a very powerful Forecasting resource that utilize’s our Client’s Portfolio’s in addition to helping assist with risk management.
Risk and Disclosure Statement:
There is a risk of loss in trading stocks, commodity futures, options contracts, and forex. This risk can be substantial and therefore investors should carefully consider their financial suitability prior to trading. Investors must fully understand the risks involved and must assume the responsibility for the results. Past performance is not necessarily indicative of future performance. In no event should the content of this website be construed as an express or implied promise, guarantee or implication by or from, Strategic Analysis Indicator or its affiliates, that you will profit or that losses can or will be limited in any manner whatsoever? Information provided on this website is intended solely for informative purposes and is obtained from sources believed to be reliable. Information is in no way guaranteed and is provided as a courtesy only. Our products are provided solely for educational purposes and in no way should the comments or strategies discussed be considered a solicitation to buy or sell commodity futures, options, securities, ETFs, Forex, or any other financial instrument. Therefore, we do not provide personalized trading advice to individual subscribers and you should contact your brokerage firm directly for assistance specific to your account risk tolerance and capital. Examples of historic price moves or extreme market conditions are not meant to imply that such moves or conditions are common occurrences or are likely to occur.
STOP LOSSES
STOP LOSS ORDERS DO NOT NECESSARILY LIMIT YOUR LOSS TO THE STOP PRICE BECAUSE STOP ORDERS, IF THE PRICE IS HIT, BECOME MARKET ORDERS AND, DEPENDING ON MARKET CONDITIONS, THE ACTUAL FILL PRICE CAN BE DIFFERENT FROM THE STOP PRICE. IF A MARKET REACHED ITS DAILY PRICE FLUCTUATION LIMIT, A “LIMIT MOVE”, IT MAY BE IMPOSSIBLE TO EXECUTE A STOP LOSS ORDER.
THE RESULTS SHOWN ARE BASED ON SIMULATED OR HYPOTHETICAL PERFORMANCE RESULTS THAT HAVE CERTAIN INHERENT LIMITATIONS. UNLIKE THE RESULTS SHOWN IN AN ACTUAL PERFORMANCE RECORD, THESE RESULTS DO NOT REPRESENT ACTUAL TRADING. ALSO, BECAUSE THESE TRADES HAVE NOT ACTUALLY BEEN EXECUTED, THESE RESULTS MAY HAVE UNDER. OR OVER-COMPENSATED FOR THE IMPACT, IF ANY, OF CERTAIN MARKET FACTORS, SUCH AS LACK OF LIQUIDITY. SIMULATED OR HYPOTHETICAL PROGRAMS, IN GENERAL, ARE ALSO SUBJECT TO THE FACT THAT THEY ARE DESIGNED WITH THE BENEFIT OF HINDSIGHT. NO REPRESENTATION IS BEING MADE THAT ANY ACCOUNT WILL OR IS LIKELY TO ACHIEVE PROFITS OR LOSSES SIMILAR TO THOSE SHOWN.