Long term monthly asset allocation model.- Since 1973 , 11% annual return with a -10% maximum drawdown. Click here for details!
The Best Growth vs Value model - Since 2001 the model has averaged a 28% annual return with a maximum drawdown of -10%. Click here for details!
Bond Trading Model- This model has an average annualized gain of 9.8% with no down years and only a 6.5% maximum drawdown . Click here for details.
- Optimal Momentum Model- This model has an average annualized gain of 17.2% and maximum drawdown of -25% since 1977. Using ETF's the model has performed at 20.8% annually since 2003 with no down years. Click here for details.


- Daily signals for S&P intermediate term system- 20% annualized returns (Click here for historical performance)
- Daily signals for NDX intermediate term system 50% annualized returns ( Click here for historical performance)
- Daily signals for VIX trading model 250% annualized return ( Click here for historical performance)
- Bond Trading Model- This model has an average annualized gain of 9.8% with no down years and only a 6.5% maximum drawdown . Click here for details.
- Optimal Momentum Model- This model has an average annualized gain of 17.2% and maximum drawdown of -25% since 1977. Using ETF's the model has performed at 20.8% annually since 2003 with no down years. Click here for details.
S&P system ( Click image to enlarge)
Ripe Trades - click here for further details and video
- Level 1 has a 76% win rate since 1982, on average 400 trades per year, the average trade made 3.4% profit.
- Level 2 has a 81.1% win rate since 1982, on average 78 trades per year, the average trade made 8.1% profit.
- Short trades have a 70.9% win rate since 1982, on average 48 trades per year, the average trade made 2.47% profit!
Platinum- $80- This subscription package is for serious traders who like to be active in the market everyday.All setups are emailed out the night before, you will also get access to a new invite only blog which has all entry price limits, exit rules and quotes on the pending trades, and also an active excel spreadsheet that shows when trades get hit during the day. This package includes trading signals for ( The short term S&P model, Intermediate term S&P model, NDX model, VIX model, Bond trading model, Asset allocation model, Growth vs. Value model, Optimal Momentum model, Ripe Trade stock setups and Sharpe Idea setups)Daily signals for S&P intermediate term system (Click here for historical performance)
- Daily signals for NDX intermediate term system ( Click here for historical performance)
- Daily signals for VIX intermediate term system ( Click here for historical performance)
- Short term S&P setups - These are short term trades usually 1-2 days in duration that predict large moves and are usually correct ~90% of the time. Out of the 17 short term trades that have hit since we started the blog we made money on 14 trades for a total profit of 191.2 S&P points. Some samples here!
Ripe Trades - click here for further details and video
- Level 1 has a 76% win rate since 1982, on average 400 trades per year, the average trade made 3.4% profit.
- Level 2 has a 81.1% win rate since 1982, on average 78 trades per year, the average trade made 8.1% profit.
- Short trades have a 70.9% win rate since 1982, on average 48 trades per year, the average trade made 2.47% profit!
- The Best Growth vs Value model - Since 2001 the model has averaged a 28% annual return with a maximum drawdown of -10%. Click here for details!
- Long term monthly asset allocation model. Since 1973 , 11% annual return with a 10% maximum drawdown. Click here for details!
- Bond Trading Model- This model has an average annualized gain of 9.8% with no down years and only a 6.5% maximum drawdown . Click here for details
- Optimal Momentum Model- This model has an average annualized gain of 17.2% and maximum drawdown of -25% since 1977. Using ETF's the model has performed at 20.8% annually since 2003 with no down years. Click here for details.
- Variant 1 has a 77.3% win rate since 1992, on average 65 trades per year, the average trade made 7% profit!
- Variant 2 has a 85.9% win rate, on average 75 trades per year, the average trade made 7.4% profit!
- Shorts have a 85% win rate since 1996, on average 22 trades per year, the average trade made 6.4% profit!
- Annual subscribers can have a strategy of there own programmed then tested and optimized by RipeTrade!




2 comments:
This post needs some eye candy!
Thanks for the post. Do you have any gold, silver or platinum items to sell? Get a good cold cash for platinum, silver and gold.
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