KDelta Futures Profit Surges To 255% With Bonds, Swiss Franc and Oil

K DELTA 2015: Commodity futures trading system

Updated 04-30-15 (members & trial users entitled to timely tracking upon request!)

KDelta profit =$25,459 = +255% for 2015 YTD 63% winning trades

Open positions:

04-29-15 Buy QMM 5885   Exit 6030  Crude Oil breaks higher toward seasonal May top

04-29-15 Buy S6M 10580   Exit 10805  Swiss Franc surges as US economy slows

Pending Signal using Buy or Sell Stops only:

Sell KCN 134.30  Exit 127.60   Coffee cools

[wlmprivate “Annually|Bi-Annually|Monthly|Free Trial”]  [/wlmprivate]Sell KCN 131.95  Exit 117.45

Buy PAM 788.10   Exit 801 and 820   Dollar falls while Palladium hints a breakout

Sell J6M 8228  or Buy J6M 8461

Sell ZSN 934-6

Sell ZLN 2978

————

Assume a $10,000 opening account & one contract per trade/signal

Legend: Currencies: Australian $=A6, British Pound=B6, Canadian $=C6,New Zealand $=N6, Euro=E6, Yen= J6, Swiss Franc=S6, US Dollar=DX.  Ags: Corn= ZC, Wheat=ZW, Soybeans=ZS, Soybean Meal=ZM, Soybean Oil=ZL, Oats=ZO, Wheat=ZW, KC Wheat=KE. Metals: Copper=HG, Gold=GC, Silver=SI, Platinum=PL, Palladium=PA. Stock Indexes: SP 500=ES, Dow/DJIA=YM, Nasdaq=NQ, Mini-Russell 2000=TF. Softs: Cocoa=CC, Coffee=KC, Sugar=SB, Cotton=CT, Orange Juice=OJ, Lumber=LB.  Bonds: T-Bonds=ZB, 10 Year Note=ZN, 5 Year Note=ZF. Energies: RB=Unleaded Gasoline; HO=Heating Oil; CL= Crude Oil; QM=mini-Crude Oil

Below: $P/(L)/contract=profit and loss of single contract trade per signal  

           P/L % margin= profit & loss per trade based upon margin required per contract    

Profit/Loss based on $10k account for 2015 YTD                                                     

$ P/(L)    P/L

Date  Signal   Entry                 Exit date/price  Contract  %margin

 

04-29-15 Sell ZNM 128-18   04-30-15 127-27          718

04-23-15 Buy ESM 2110      04-30-15 2090.50      (950)

04-24-15 Sell ZCN 374-6       04-27-15 366-4           412

04-16-15 Buy N6M 7639       04-23-15  7594           (450)

04-15-15 Sell RBM 188.60    04-20-15 190.15           650

04-13-15 Buy HOM 180.60   04-15-15 189.00         3528

04-09-15 Sell ZMN 314.5      04-20-15 317.5            (300)

04-09-15 Sell NGM 2632      04-16-15 2632               0                  0

03-30-15 Sell NGK 2619        04-02-15 2718            (990)           (23%)

04-02-15 Buy ZWK 540-6      04-07-15   526           (738)            (52%)

04-02-15 Buy KEK 579-4       04-07-15 564-4          (250)            (18%)

03-31-15 Sell ZOK 265-2       04-01-15 262                 162               13%

April results: 5 win & 6 losses P/L=$ 1792

YTD results=22 wins & 13 losses: P/L = $25,459 = +255%

 

03-17-15 Sell ZCK 373-4     03-20-15 377-6              (213)           (19%)

03-13-15 Sell D6H 7800     03-18-15 7921               (1210)           (66%)

03-10-15 Sell J6H 8218       03-12-15 8272               (675)            (21%)

02-12-15 Buy NQH 4342.5 03-10-15 4389.5              940              24%

02-13-15 Buy ESH 2089      03-06-15  2089                    0               0

02-26-15 Buy DXH 95.24    03-05-15  96.60             1360             82%

02-26-15 Sell E6H 112.74   03-04-15  111.28              1825             54%

02-26-15 Buy HOJ 19423    03-04-15 18823            (2520)          (50%)

March results: 3 wins & 4 losses: P/L= $(493);

YTD=17W&7L: YTD P/L=$23,667=237%

 

02-25-15  Buy RBJ 18825    02-27-15 19528             2952             52%

02-25-15 Buy A6H 7860      02-26-15  7830              (300)           (12%)

02-24-15 Buy HGK 264.10  02-26-15  270.60           1625             43%

02-17-15 Sell LBK 303.75    02-24-15 292.9              1193             68%

02-18-15 Sell OJK 133         02-23-15  129                   600             45%

02-17-15 Sell KCK 161.15    02-19-15 154.20              2606             59%

01-16-15 Sell ZSH 990-6      02-03-15 966-6             1200             44%

February results:6 wins & 1 losses:14W/3L:P/L=$9,876:YTD=$24,160=+242%

 

01-28-15 Sell QMH 4479      01-29-15  4369             550               20%

01-26-15 Sell S6H 11353      01-29-15 10891             5775               69%

01-22-15 Sell B6H 15026      01-26-15 15053            (169)               (9%)

01-13-15 Sell ZMH 336.9      01-20-15      322.2        1470                67%

01-15-15 Sell NQH 4080.5    01-16-15    4101.5         (420)              (11%)

01-12-15 Sell HOG 16714    01-13-15      16316             1671                44%

01-12-15 Sell QMG 4682     01-13-15         4545            685                37%

12-15-14  Sell HEG 83.25      01-06-15      78.17          2032              154%

01-02-15 Sell D6H 8544        01-05-15       8472           720               57%

12-30-14 Sell CLG 53.97        01-05-15       50.03         1970            105%

January results: 8 wins & 2 loss: P/L=$14,284= +143% gain on $10k account

 

 

 

Disclaimer and Notice:  Nothing herein, including any attachments, should be construed as an offer to sell or as a solicitation of an offer, or a recommendation, to buy any interest in any investment or other product. This may contain information on investments that are high risk and have substantial risk of principal loss.  It is for informational purposes only. Statements in this communication that are not statements of fact are merely opinions or forward looking statements from a potentially biased source(s) that involve known and unknown risks, uncertainties and other factors that could cause actual future results to differ materially from any prior or projected results. Statements in this communication may be inaccurate and/or unsuitable for you.  You must perform your own due diligence.  Your investment decisions should always be made based on your specific financial needs, suitability, objectives, goals, time horizon and risk tolerance.  Any decision is at your sole discretion and at your sole risk.  You are advised to consult with your individual investment and tax professionals before making any investment.  Past performance is no guarantee of future results.[wlmprivate “Annually|Bi-Annually|Monthly|Free Trial”] [/wlmprivate]

Categories

Ready to start creating financial success?

PREMIUM ADVICE


Warning: array_merge(): Expected parameter 1 to be an array, string given in /home/customer/www/execspec.net/public_html/wp-content/plugins/paid-memberships-pro/includes/content.php on line 240
  • All Post
  • KDelta Futures Trader
  • KDelta Stocks
“I passionately provide stock and commodity futures traders and investors with technical and fundamental analysis, commentary on specific stocks, indices, futures trades and portfolio allocation to avoid risk, preserve capital and profit from mispriced valuations both short term & long term.”
Kurt Kallaus
© 2022 Exec Spec. All Rights Reserved.