MICEX

Comparison of returns S&P500 and RTSI on the period 10 And 20 years

An interesting comparison of the yields of the American and Russian stock markets read by Oksana Gafaidi. You will probably be interested too. I received such a question from Viktor Vedibeda (vedibeda): Hello, Oksana! An article was published on the blog of the "Lazy Investor", where the author analyzed the profitability of US and Russian stocks, and it looks like this,that Russian stocks are much more profitable than American. It makes you wonder about the desire to enter the US market.. Yes, there is more choice and stability, which in relation to shares does not matter, but…

Subtotals.

Subtotals: A busy year of some kind. Especially when the catastrophe in the form of the most rapid fall of markets in the history of con

Intermediate results

Systems for American stocks year to date. Truth, system no. 8 not from the beginning of the year, and a little later. System # 1 has recently been played not periodically due to the fact that signals are received during the day, but it would be better not to play at all, since it turned out to be a rather unfortunate alignment, especially today when it was necessary to close all positions at the market opening, and the market opened quite low, that's why all deals were in deep red.
Systems not for sale.

American futures.
Equity of System # 1 from the beginning of the year looks something like this:

Equity of system # 2 looks something like this:

Equity of System # 3 looks something like this:

System # 4 was played unsuccessfully this year and is still in the red.
System # 5 was stopped a couple of months ago due to lack of funds, also in the red.

Forex. +53%

MICEX.
Since the beginning of trading (February this year) -6,2%
At this point, there are five positions:

Results of the week.

Friday. Subtotals for the week. Intensive workouts to restore fitness. I ran for three days, rode a bike one day, Roller skating for two days, I drink vodka tomorrow.
And here are the systems for US stocks since the beginning of the year. Note — System # 1 began to trade unsystematically, since there are signals during the session and when I am not there, of course, what, what they do, what is not — result one.

Systems for futures. There are almost no positions, therefore, while futures have little effect on the overall result.
The following positions are open according to System # 1:

The following positions are open according to System # 2:

System No. 3 is the longest, that's why there are more positions — mostly, which did not close during the last correction, unlike Systems No. 1 and 2.

According to System No. 4, which is not doing very well this year:


as well as long ZN and long 6B (from other brokers)

Correction continues on MICEX, therefore, there are almost no positions. Portfolio same as last week, filled on 10%. Rostelecom was closed this week, but an issuer appeared with a previously unknown name. I have no idea what they are doing at all. Since the beginning of trading, so far minus 6,8% which is slightly better than the MICEX index for the same period.

We guess….

The paths of the MICEX index are inscrutable….

Long on Everything? :)

In LJ, the prevailing opinion about the downward trend, means to grow at least by 2 width of the previous channel: :)

Routine.

For starters a bestseller — how to catch the bottom:

Systems for US stocks since the beginning of the year. Let me remind you, that about a month ago the hep system was withdrawn from circulation due to monotonous discharge. Added a new system, or rather a well forgotten old, which only works in a volatile market, and since there were several episodes of such a state of the market this year, then there were deals too. Last year, in general, only a few signals were on this system., but deals — units. This system is seventh in the picture.:

Well, the Russian MICEX market. The portfolio is full on 100% — we can fall :)
In theory, the portfolio was conceived from 10 parts, but since I additionally deposited money into the account, and the portfolio was filled at 70% by old standards, then when was it bought 10 Issuers, there was still extra money left, and the signals kept coming — that's why I bought two more. As a result, now a portfolio of 12 parts. Since the beginning of trading, but exactly two months have passed the overall result +0.6% if nothing changes by the end of the session. The red line marks the purchase price of the product:

MICEX + RTS

For the time being on the MICEX 40% in promotions. Positions are shown in the picture. Red line — position opening level. I still have to buy tomorrow “SibTlk-ao”. So far since the start of trading 24.01.2011 minus 0,9%. Let me remind you that the system is long-term. So a small minus / plus on a short interval means nothing..

The aggressive strategy on the RTS is still minus 5% since missed 2 profitable trade, which would cover small minus transactions and bring to a plus. But that's not an excuse :)
There were no deals today and yesterday.

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