Doug, I'd give it a B based on M-Plex 2.09 W/L ratio comp -1200 vs +9019 for +850% to b/h. The 20W/32L causes concern. Still long on a bdog 10TSF-1 exit since 3/15 sig for +5000 last trade or 60% of the historical net (not ideal); won't hit OEM buy specs again before a fresh decline - went out on 3/19. CP
HISS System | NetProfit |%Gain|Avg W/L|TotTrades|Win |Lose| Cur Pos|DateEntered SMI(2,1,2) X (4,2,3) 37004.1172 370.04 2.93 46 22 24 Out 03/08/99 SMI(5,3,5) Pivots 11826.3398 118.26 0.93 8 6 2 Long 01/27/99 SMI-plex System 9019.0176 90.19 2.09 52 20 32 Out 03/19/99 SMI(13,25,2) Pivots 4511.2852 45.11 1.43 28 12 16 Long 03/08/99 SMI(3,2,1)X(4,2,3)/5X 2347.2471 23.47 0.82 18 10 8 Long 02/05/99 SMI(3,2,1)X(4,2,3) 1587.7734 15.88 1.29 40 18 22 Out 03/08/99 SMI(2,1,2)X(4,2,3)/5X 528.9814 5.29 1.14 18 8 10 Long 02/05/99 Grace Factor System -222.7197 -2.23 0.65 10 6 4 Out 03/18/99 SMI(4,2,3) X 9TSF -303.8135 -3.04 2.2 49 15 34 Long 03/22/99 SMI(4,2,3) Pivots -1584.6836 -15.85 0.61 17 10 7 Out 03/12/99 SRSI Buy Pivots -2318.4146 -23.18 0.7 21 11 10 Out 03/11/99 SMI(2,1,2)X(3,2,1)T -2398.1904 -23.98 0.36 7 2 5 Out 03/08/99 SMI(4,2,3)9TSF40Trig -4067.9824 -40.68 0.49 17 10 7 Out 03/17/99 MACD(13,34,89)Sys4 -9034.8477 -90.35 0.54 18 4 14 Long 03/22/99 |