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ConnorsRSI Selective Trading Strategy

ConnorsRSI Selective Trading Strategy

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Product Description

ConnorsRSI Selective Trading Strategy

ConnorsRSI Selective Trading Strategy

Sale page: https://store6372061.ecwid.com/#!/ConnorsRSI-Selective-Trading-Strategy/p/46730169/category=12111802

ConnorsRSI Selective Trading Strategy

Introducing:

The ConnorsRSI Selective
Portfolio Strategy

Most traders feel that large cash allocations are a waste of time, and they believe the popular “rule” that it’s always better to remain invested in the market.

This “rule” is in reality a “myth” — one that is heavily promoted by the Financial Community.

Why? Because the entire financial industry is set up to be rewarded on commissions from invested money.

They don’t make money when you are sitting in cash!
This new highly selective portfolio strategy — based on ConnorsRSI — is a perfect example of how you can find relatively hidden opportunities by trading beyond that myth.

The ConnorsRSI Selective Portfolio Strategy uses large cash positions to allow you to find strong opportunities in “beta” stocks (high-volatility stocks)

In fact, you could look at the ConnorsRSI Selective Portfolio Strategy as a “Cash Product” that Earns 15-20% Annually!

The ConnorsRSI Selective Portfolio Strategy tends to attract signals on high-beta stocks — and the high cash levels help to significantly lower the volatility of the portfolio.

Would You Like the Potential to Earn Returns Like These….

Top 10 Simulated Backtest Portfolios Results: 2006-July 31, 2013. Ranked by Average Annual Return.

Strategy 2006 2007 2008 2009 2010 2011 2012 2013 Compounded Annual Returns
1 36.7% 20.7% 8.3% 9.4% 21.2% 10.5% 20.9% 18.6% 19.1%

Every variation tested had positive compounded returns since 2006, and Sharpe ratios above 1.1

Note:
The test universe begins in 2006 in order not to be biased by the inherent high mean reversion returns that existed from 2001-2005.

Had we included the 2001-2005 years, the 11+ years test returns would have been even higher!.

2 31.7% 24.7% 3.9% 6.3% 14.5% 20.2% 25.4% 16.6% 18.6%
3 26.2% 27.3% 15.7% 8.9% 27.6% 13.7% 3.9% 13.1% 17.8%
4 17.6% 26.8% 24.9% 9.9% 28.0% -2.4% 10.4% 6.7% 15.7%
5 20.5% 25.4% 14.5% 8.9% 20.2% 13.9% 3.7% 12.5% 15.6%
6 7.7% 19.3% 19.9% 13.3% 21.8% 20.3% 6.9% 7.6% 15.3%
7 13.6% 17.2% 20.5% 13.12% 24.2% 14.6% 3.7% 9..4% 15.3%
8 14.0% 26.4% 24.7% 6.6% 24.6 1.2% 8.1% 5.7% 14.9%
9 21.7% 11.7% 6.8% 23.2% 11.2% 12.0% 1.0% 17.0% 13.6%
10 11.8% 16.6% 28.4% 11.2% 19.8% 5.6% 7.4% 3.5% 13.5%

. . . on Exposure Like This?

Here the % Exposure and Average Bars Held for the Same Top 10 Strategies.

Strategy % Exposure Avg. Bars Held
1 37.6% 5.8
2 33.3% 5.6
3 15.8% 5.0
4 8.0% 4.8
5 13.9% 5.1
6 6.0% 2.5
7 7.3% 4.9
8 7.0% 3.1
9 21.6% 2.6
10 3.7% 5.6

Here’s How It Works:

1) Simple to Manage & Trade

Trading the ConnorsRSI Selective Portfolio Strategy is fast and easy.

Precise trading signals on the buying opportunities in stocks are delivered to you after market close each day. Everything is delivered to you online via The Machine — the professional-grade portfolio management platform developed by Connors Research.

All you need to do is log-in, check your signals, & execute the trades with your preferred brokerage account.

2) ConnorsRSI Filters to Maximize Growth

Your trading signals are triggered by Multiple Day ConnorsRSI readings in the “low” range. The research shows that these stocks with multiple low daily readings tend to significantly outperform single day ConnorsRSI readings.

3) Controlled Exposure – Your Protection for “Safe Money” Accounts

The ConnorsRSI Selective Portfolio Strategy automatically moves to cash during market downturns.

Note the low exposure to equities during the Bear Market years of 2001, 2002 & especially 2008. (circled in green at left)

This protection is built-in, designed to allow you to use The S&P 500 Low-Volatility Growth Portfolio for “safe” money, and retirement accounts.

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