StockFetcher Forums · Filter Exchange · MODIFIED CONNORS RSI(2) FILTER<< 1 ... 3 4 5 6 7 ... 22 >>Post Follow-up
optionplayer333
801 posts
msg #94684
Ignore optionplayer333
7/10/2010 3:55:24 PM

kevin there is much easier and accurate filter to use for rsi(2) - alway have rsi(2) and rsi(2) 1 day ago as you headers in all your stock filters--- then all you need to do is say the slope of the rsi(2) more then 40% above slope 1 day ago----- this will give youy the stocks that are moving up and strongest and fastest off their bottoms-- let look at how this played out from the 7-2 bottom so what you did is check for 3 days ago- to see what came off its bottom the most from the close on 7-2 to the close on 7-6--here is what you got--Performance results for your filter covering the dates:
Tuesday July 6, 2010 to Friday July 9, 2010

Change Offset
<< Week Day Previous Next Day Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day +2.73% 375 (+3.24%) 32 (-2.65%)
7 +3.13% +2.82%
2 Days +3.75% 386 (+4.24%) 27 (-3.06%)
1 +3.89% +4.06%
3 Days +4.75% 391 (+5.21%) 22 (-3.27%)
1 +4.90% +4.66%
Current +4.75% 391 (+5.21%) 22 (-3.27%)
1 +4.90% +4.66%
414 matching stocks



bigrsijumps

now if you factor the profit indicator into this- say .10-- you get this--Performance results for your filter covering the dates:
Tuesday July 6, 2010 to Friday July 9, 2010

Change Offset
<< Week Day Previous Next Day Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day +2.93% 49 (+4.89%) 12 (-3.87%)
5 +3.13% +2.82%
2 Days +4.55% 56 (+6.20%) 9 (-5.16%)
1 +3.89% +4.06%
3 Days +6.55% 56 (+8.46%) 9 (-4.64%)
1 +4.90% +4.66%
Current +6.55% 56 (+8.46%) 9 (-4.64%)
1 +4.90% +4.66%
66 matching stocks
now we have 56 winners up an average of 8.46% and 9 losers


optionplayer333
801 posts
msg #94685
Ignore optionplayer333
modified
7/10/2010 4:22:16 PM

by the way kevin- larry connors got the rsi 2 from me in 2002- in the last message i made you a modified version for you-- now if we take take same filter and say close >4$- it will dramatically effect you % of winners-the higher you go the more accurate you are--now doing this we get 44 winners no losers with an averge gain of 8.98% for a 3 day return- you cant get it any better than that kevin--Performance results for your filter covering the dates: here is back testing that filter above--bigrsijumps 7/10/2010 7/6/2010 7/9/2010 ---100%--- 0%-- 0.00:1 0.00 --roe%--2470.00% delete copy

Tuesday July 6, 2010 to Friday July 9, 2010

Change Offset
<< Week Day Previous Next Day Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day +4.73% 42 (+5.02%) 2 (-1.30%)
0 +3.13% +2.82%
2 Days +6.23% 43 (+6.40%) 1 (-1.47%)
0 +3.89% +4.06%
3 Days +8.98% 44 (+8.98%) 0 (n/a)
0 +4.90% +4.66%
Current +8.98% 44 (+8.98%) 0 (n/a)
0 +4.90% +4.66%
44 matching stocks

kevin only trade stock where the profit indciator is >10 and you will win >85% of the time-with the kind of return listed above--here are the actual stocks it selected-----------------------------------------------------------------------------------------------------------------

Change Offset

download symbols | | Backtest this filter





Symbol Last %Chg Vol d d-1 w profit %above336daylow bearorbull rb200 v% Performance Chart
THC - TENET HEALTHCARE CORP 4.32 4.10 15820500 59.64 1.43 33.03 12.86 453.85 0.83 0.79 0.97 +5.79% 3m , 6m , 1y , 2y
X - U S X-U S STEEL GRO... 38.22 1.49 12633900 47.75 3.35 18.68 10.92 129.41 0.79 0.76 0.86 +12.19% 3m , 6m , 1y , 2y
WFT - Weatherford Interna... 13.28 1.61 11573000 57.93 13.22 31.57 10.21 33.87 0.76 0.78 0.62 +10.32% 3m , 6m , 1y , 2y
GNW - GENWORTH FINCL INC 12.89 1.82 10125700 51.05 0.38 21.95 10.87 1552.56 1.00 0.92 0.95 +13.19% 3m , 6m , 1y , 2y
MI - MARSHALL & ILSLEY CORP 7.02 2.63 7479500 47.12 5.13 28.92 10.83 132.45 1.00 0.98 0.88 +13.53% 3m , 6m , 1y , 2y
NBR - Nabors Industries Inc 17.53 1.21 5047100 44.00 0.07 20.98 10.48 112.48 0.85 0.82 0.63 +4.68% 3m , 6m , 1y , 2y
ANR - ALPHA NATURAL RESOU... 34.17 2.74 4500200 62.36 6.90 34.89 10.91 125.54 0.84 0.81 1.14 +10.48% 3m , 6m , 1y , 2y
MEE - Massey Energy Co 27.02 2.70 3823500 50.88 2.14 25.05 10.88 180.87 0.75 0.70 0.80 +11.95% 3m , 6m , 1y , 2y
MTL - MECHEL OAO 18.06 3.50 3573100 58.69 2.08 26.85 12.14 484.47 0.90 0.82 1.03 +10.13% 3m , 6m , 1y , 2y
TIE - TITANIUM METALS CORP 17.60 1.91 3368500 54.33 3.99 29.49 10.96 335.64 1.40 1.31 0.72 +11.76% 3m , 6m , 1y , 2y
MTW - MANITOWOC CO INC 8.83 2.20 3304900 45.13 2.36 21.87 13.61 277.35 0.84 0.76 0.99 +9.17% 3m , 6m , 1y , 2y
MPEL - Melco Crown Adr 3.72 1.09 3255200 45.33 4.45 21.38 10.88 47.04 0.79 0.81 0.63 +6.99% 3m , 6m , 1y , 2y
ICO - INTERNATIONAL COAL ... 3.84 2.40 3185200 62.46 13.76 31.46 12.23 252.29 0.93 0.89 1.45 +14.58% 3m , 6m , 1y , 2y
FST - FOREST OIL CORP 26.67 1.68 2820300 45.68 5.13 24.78 12.34 158.18 1.15 1.07 1.16 +9.15% 3m , 6m , 1y , 2y
AGO - ASSURED GUARANTY LTD 13.58 3.43 2815800 79.38 12.75 43.50 11.61 371.53 0.70 0.68 0.73 +15.46% 3m , 6m , 1y , 2y
SQNM - Sequenom, Inc. 5.56 3.54 2691700 52.23 3.71 33.74 11.32 118.04 1.10 1.10 0.93 +11.87% 3m , 6m , 1y , 2y
DIG - Ultra Oil & Gas Pro... 25.25 1.98 2562800 63.48 0.51 25.86 11.96 49.14 0.78 0.75 0.68 +10.18% 3m , 6m , 1y , 2y
KLIC - Kulicke and Soffa I... 7.32 4.42 2358300 69.71 25.91 50.90 13.16 536.52 1.18 1.14 1.33 +13.66% 3m , 6m , 1y , 2y
CNK - Cinemark Holdings Inc 13.36 3.17 1720200 65.69 2.38 27.80 10.63 97.93 0.96 0.91 1.79 +5.09% 3m , 6m , 1y , 2y
ASIA - AsiaInfo Holdings, ... 22.54 4.06 1476000 83.24 19.70 56.54 11.69 101.25 0.95 0.90 1.09 +8.83% 3m , 6m , 1y , 2y
ATLS - Atlas Energy Inc 26.66 3.05 1133700 57.26 6.23 27.21 12.37 281.95 0.92 0.87 0.79 +10.69% 3m , 6m , 1y , 2y
IMA - Inverness Medical T... 26.53 2.83 1094500 62.06 2.63 33.23 11.07 24.67 0.70 0.69 0.68 +0.64% 3m , 6m , 1y , 2y
VQ - Venoco Inc 17.33 6.32 867800 87.29 31.18 63.86 14.47 516.73 1.36 1.28 1.32 +4.96% 3m , 6m , 1y , 2y
WBS - Webster Financial Cp 17.67 1.67 832500 45.90 2.71 27.64 10.25 520.00 1.18 1.12 1.16 +8.55% 3m , 6m , 1y , 2y
ALK - ALASKA AIR GROUP INC 44.67 3.31 787500 60.72 2.80 35.91 10.67 228.21 1.29 1.21 1.23 +6.65% 3m , 6m , 1y , 2y
BAS - BASIC ENERGY SERVIC... 7.81 8.93 725500 71.51 0.89 49.68 12.83 47.36 0.93 0.89 2.16 +7.17% 3m , 6m , 1y , 2y
ROSE - ROSETTA RESOURCES 19.74 1.02 721500 43.95 1.90 16.98 14.31 460.80 1.07 0.98 0.97 +11.09% 3m , 6m , 1y , 2y
MELI - MercadoLibre Inc 53.22 2.09 707500 62.79 4.95 33.22 11.63 281.51 1.21 1.14 0.69 +11.09% 3m , 6m , 1y , 2y
YZC - YANZHOU COAL MNG CO... 19.73 5.40 555000 69.47 18.85 39.32 10.48 272.26 1.00 0.95 1.22 +3.14% 3m , 6m , 1y , 2y
AEIS - Advanced Energy Ind... 12.18 1.50 535900 48.71 5.37 27.73 11.75 127.24 0.91 0.88 1.01 +12.07% 3m , 6m , 1y , 2y
PCYC - Pharmacyclics 6.85 2.85 503900 80.05 37.15 74.61 11.61 1081.03 1.68 1.47 0.91 +8.61% 3m , 6m , 1y , 2y
NM - Intl Shipping Entr 4.70 3.75 440000 65.39 2.56 26.08 11.53 139.80 0.83 0.79 0.84 +3.40% 3m , 6m , 1y , 2y
VLTR - VOLTERRA SEMICONDUC... 23.54 2.79 433400 75.39 22.56 49.51 12.41 225.59 1.17 1.13 0.83 +8.62% 3m , 6m , 1y , 2y
INAP - InterNAP Network Se... 4.22 1.44 344900 61.77 11.12 22.27 11.82 100.95 0.97 0.90 0.98 +10.90% 3m , 6m , 1y , 2y
GLBC - GLOBAL CROSSING LTD 10.88 6.35 297700 72.01 11.57 48.41 10.27 115.02 0.82 0.79 1.28 +6.43% 3m , 6m , 1y , 2y
TX - TERNIUM S.A. 34.42 5.91 256700 81.77 23.75 51.80 10.52 513.55 1.09 1.03 0.82 +10.23% 3m , 6m , 1y , 2y
IDIX - Idenix Pharm 5.02 4.15 254600 77.67 22.18 64.50 11.99 177.35 1.57 1.60 0.87 +14.14% 3m , 6m , 1y , 2y
KNDL - Kendle Internationa... 11.20 3.42 189800 53.77 2.84 25.56 11.43 35.27 0.70 0.67 1.33 +10.89% 3m , 6m , 1y , 2y
ROM - Ultra Technology Pr... 41.63 1.76 151400 53.69 0.11 23.62 10.19 166.18 0.88 0.84 0.98 +9.58% 3m , 6m , 1y , 2y
FARO - FARO Technologies, ... 18.11 1.68 124000 44.01 2.45 16.80 10.38 66.91 0.89 0.85 1.35 +7.62% 3m , 6m , 1y , 2y
SSRX - 3S Bio Inc ADR 11.89 3.84 111500 80.74 36.65 44.08 10.23 184.45 1.02 0.98 1.15 +4.88% 3m , 6m , 1y , 2y
TREE - Tree.com Inc 6.44 6.98 65400 75.90 0.07 53.88 10.76 71.28 0.79 0.81 0.95 +4.66% 3m , 6m , 1y , 2y
SRT - STARTEK INC 4.03 4.68 53900 65.62 18.14 39.23 17.48 84.86 0.58 0.60 0.45 +6.70% 3m , 6m , 1y , 2y
SIM - Grupo Simec SA de CV 7.20 4.35 36800 69.81 5.76 46.54 10.13 102.25 0.91 0.91 0.89 +3.33% 3m , 6m , 1y , 2y



22 of the 44 stocks gave you a return of >10%-just call me and i will show you how to make a fortune-- look at my daughter 6 month return trading options on wall street survivor-she is the life time leader at >70000%--July 2010 - Your rank is 11 out of 5152 total playersRank Survivor Affiliation Date Entered Cash Balance Market
Value Starting Value Current Portfolio Value % Return Last Traded Symbol
1 Margiej27
[money4me2]
- 01-20-2010 $68,171,173.00 $2,570,000.00 $100,000.00 ---$70,866,987.39--- 70766.99%-- SPY1017G106
my wife won the last 2 weekly option contests with 600% and 980% gains------------------------------she has 2 handles under mary 622--July 2010 - Your ranking is 3 out of 2381 total monthly playersDisplay All Investors Traders
Rank Survivor Affiliation Date Entered Cash Balance Market
Value Starting Value Current Portfolio Value % Return Last Traded Symbol
1 mary622
[worlds--best--option-- trader]
- 03-30-2009 $669,167.00 $1,000.00 $100,000.00 $670,246.40-- 570.25% C1017G4
2 Revolver
[Default]
- 10-27-2008 ($129,875.00) $681,000.00 $100,057.54 $551,162.47 --450.85% AEO1017G12.5
3 mary622
[miss-super-swinger]
- 03-30-2009 $2,548,631.00 $0.00 $681,548.17 $2,549,428.79 ---274.06%
this is just from july 1st-----------------------------------------------------------------------------here is her 2 week return-Rank My Return S&P 500
Weekly 5 135.72% 0.75%
Monthly 3 274.06% 2.97%
Lifetime 11 2449.43%
my wife won the first weekly option contest on there in may 2009 when the prize was 500$ cash---------------Weekly Options Winner
Week of May 8th, 2009
mary622
+2,380.39%, Hot Option: BYO EO
$500

again she won the 500$ in aug-----------------------------------------------------------------------------------------------------------------------------Weekly Options Traders
August 2009August 21st mary622
+438.57% Hot Option:BYO HQ
$500 Cash Prize -------------------they stopped paying a cash prize in dec 2009 because we won so much and by such big margins--my daughter has won it 4 times with gains of 1200-4000% in a week my son chris won it 3 times with gains of 1100-2200% and my other son won it 4 times with gains of 400-1300%-here is my daughter play from friday where she got the 105-109 spy calls will spy near 106.40 on thursday and sold will spy near 107.80 for a 5 million dollar gain--here are her trades------http://www.wallstreetsurvivor.com/CS/forums/t/40944.aspx------------all just using my trading system i offered to you for nothing kevin

Kevin_in_GA
4,552 posts
msg #94697
Ignore Kevin_in_GA
modified
7/11/2010 2:42:32 PM

Mary:

OK - I'll bite. If you post the specific filter that gave you these results (since you obviously have it or you could not have backtested it), I'll review it. What it needs to be able to do is to provide consistent results across more than just the last few days - how well did it perform exactly 1 month ago, 1 year ago?

Posting the filter here (or in a separate post if that suits you better) would be a great way to get feedback and independent validation.

In the mean time, I'll keep posting suggestions here for the long/short dollar neutral approach I have begun to outline in this thread.

In the spirit of complete openness, I'll also post the most recent version of my filter, which shows the Connors' scores as well as several of the criteria I think help to find high probability trades. Hoping to see you do the same.

optionplayer333
801 posts
msg #94701
Ignore optionplayer333
7/11/2010 3:56:48 PM

here is my filter--stock is optionable and average volume(50) above 1000000 and set{d5,atr(6)/ma(6)} and set{dd5,d5*100} and add column dd5 and and set{pro,weekly atr(6)/weekly ma(6)} and rsi(2) below 10 and pro between 0.10 and 0.20 and close above 5-----------------here are the results--Performance results for your filter covering the dates:
Friday July 2, 2010 to Friday July 9, 2010

Change Offset
<< Week Day Previous Next Day Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day -1.15% 60 (+1.31%) 112 (-2.51%)
4 +0.10% +0.59%
2 Days +4.17% 165 (+4.75%) 10 (-4.92%)
1 +3.24% +3.43%
3 Days +5.80% 167 (+6.39%) 8 (-5.79%)
1 +4.00% +4.67%
4 Days +8.09% 174 (+8.43%) 2 (-21.95%)
0 +5.00% +5.28%
Current +8.09% 174 (+8.43%) 2 (-21.95%)
0 +5.00% +5.28%
176 matching stocks
here are the results when you change vol to 200000Performance results for your filter covering the dates:
Friday July 2, 2010 to Friday July 9, 2010

Change Offset
<< Week Day Previous Next Day Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day -1.52% 86 (+1.33%) 212 (-2.71%)
4 +0.10% +0.59%
2 Days +3.43% 268 (+4.27%) 33 (-3.27%)
1 +3.24% +3.43%
3 Days +5.36% 277 (+6.13%) 24 (-3.25%)
1 +4.00% +4.67%
4 Days +7.74% 293 (+8.18%) 9 (-6.69%)
0 +5.00% +5.28%
Current +7.74% 293 (+8.18%) 9 (-6.69%)
0 +5.00% +5.28%
302 matching stocks



general option filter



misfithab
6 posts
msg #94703
Ignore misfithab
7/11/2010 5:07:57 PM

Kevin....I am continuing working to modify the filter.

Right now I'm getting very good results as you did but there are a number of 4 month periods that come up negative. All in all not that many but my thought is that on the LONG side for example there is no protection against the market tanking...and when the market tanks there's a good chance that LONGS (no matter how good the filter) are sure to go with it...

I've tried adding something to the filter so that it only picks stocks when the S & P MA is above 30 but I must be doing something wrong because across the board I get zero stock returns...

This is what I'm playing around with...

Close is above MA(200)
Close is below MA(10)
Close is above 5
Close is below 20
Average volume(50) above 500,000
where Fast Stochastic(5,3) Fast %K is below 20
where Slow Stochastic(5,3) Slow %D is below 20

RSI(2) 1 day ago below 2
RSI(2) below 1

But I'm a newbie at this and adding something as simple as

^SPX price above MA (30)

is shooting blanks...might you or anyone else help so I can try to protect from huge market downdrafts?

Best

optionplayer333
801 posts
msg #94704
Ignore optionplayer333
7/11/2010 6:38:43 PM

you all are making this way to hard- im the one who started the use of the rsi-2 back in 2000 and i still make it simple-- daily rsi(2) below 10 and average volume (50) above 500000 and stock is optionable and close above 4 and set{pro,weekly atr(6)/weekly ma(6)} and pro above 0.10--( 0.10 means these stock move an average of 10% a week for thr last 6 weeks)-----------you have to have your filter follow the market spy qld vix and qid- there are very few non optionable stocks that move with the market-nlst is one of the few-- pro is just the profit indicator-i use this in the context of the filter because it is also under my settings- here are all the settings i use on my graphs--set{daily, rsi(2)} and draw daily --------draw linear regression channel(100)---settings that appear on each filter you create--set{D, rsi(2)} and add column D-----set{W,weekly rsi(2)}and add column W------set{X, weekly atr(6)/weekly ma(6)} set{PROFIT,X*100} AND ADD COLUMN PROFIT------set{low1,close - low 336 day low}set{low2, low1 / low 336 day low} set{%above336daylow, low2 * 100}add column %above336daylow---------------------set{bearorbull,close/ weekly ma(52)} and add column bearorbull-------------------set{rb200,close/ma(200)} and add column rb200------------------------------set{v%,volume/average volume(30)} and add column v%---now lets look at what the filter gives me--------------Performance results for your filter covering the dates:
Friday July 2, 2010 to Friday July 9, 2010

Change Offset
<< Week Day Previous Next Day Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day -1.47% 77 (+1.35%) 183 (-2.69%)
4 +0.10% +0.59%
2 Days +3.65% 238 (+4.44%) 25 (-3.65%)
1 +3.24% +3.43%
3 Days +5.42% 243 (+6.21%) 19 (-4.16%)
2 +4.00% +4.67%
4 Days +7.73% 255 (+8.25%) 9 (-6.94%)
0 +5.00% +5.28%
Current +7.73% 255 (+8.25%) 9 (-6.94%)
0 +5.00% +5.28%
264 matching stocks

now if we up the profit indicator to 0.15 and the rsi(2) below(5)---by just adjusting the profit--rsi(2) volume and price you can get better and better results-Performance results for your filter covering the dates:
Friday July 2, 2010 to Friday July 9, 2010

Change Offset
<< Week Day Previous Next Day Week >>
Results For Next... Overall Adv(%) Dec(%) Adv vs Dec Unch IXIC(%) DJIA(%)
1 Day -1.74% 14 (+1.21%) 27 (-3.40%)
2 +0.10% +0.59%
2 Days +4.70% 39 (+5.32%) 4 (-1.35%)
0 +3.24% +3.43%
3 Days +7.37% 41 (+7.83%) 2 (-2.02%)
0 +4.00% +4.67%
4 Days +10.66% 43 (+10.66%) 0 (n/a)
0 +5.00% +5.28%
Current +10.66% 43 (+10.66%) 0 (n/a)
0 +5.00% +5.28%
43 matching stocks
now we have 100% winners with a higher % gain-its that easy guys- and when you do a back test you need to do from the topa and bottoms of the major short and long etfs for accuracy of your trading system-- lets look at the long etfs from the 2-5 bottom to the 4-15 top-------------------------long etfs 7/11/2010 2/5/2010 4/15/2010 87% 13% 6.62:1 4.89 185.16% - we grt 87% winners and risk to reward of 6.6 to 1-- now lets looks at the short etfs from their bottom of 4-15- to their top on 7-2-these all matched the weekly rswi(2) highs and lows-back testing short etfs--short etf s 7/11/2010 4/15/2010 7/2/2010 82% 18% 4.50:1 4.56 222.83% --82% winners risk to reward 1 to 4.56- how come i can get 90% winners all the time-- you guys are going off on to many tangents and confusing yourselves--here are the buys my wife made at their dead bottom on 7-2-- on the regular stock contest-- on wss---------------------------------------------------------------------------------------------------------------weekly 19 19.52% ----------------------------------------------------------------------------------------------------------------------------------------------Action Symbol Description QTY Price Paid Last Price Change MKT Value Profit Loss % Post
Sell JA SOLAR HOLDINGS CO LTD JASO JA SOLAR HOLDINGS CO LTD 2,000 $4.73 $6.16 $0.35 $12,320.00 $2,860.00 30.23%
Sell TRINA SOLAR LIMITED TSL TRINA SOLAR LIMITED 500 $17.73 $21.11 $0.15 $10,555.00 $1,690.00 19.06%
Sell ASSURED GUARANTY LTD AGO ASSURED GUARANTY LTD 500 $13.68 $15.68 $0.73 $7,840.00 $1,000.00 14.62%
Sell STEC INC STEC STEC INC 800 $12.96 $14.75 $0.65 $11,800.00 $1,435.00 13.84%
Sell GAFISA S.A GFA GAFISA S.A 500 $12.30 $13.69 $0.09 $6,845.00 $695.00 11.30%
Cover DIREX DLY FINANCIAL BEAR 3X FAZ DIREX DLY FINANCIAL BEAR 3X -500 $16.64 $14.79 -$0.74 $7,395.00 $925.00 11.12%
Sell DIREX DLY FINAN BULL 3X FAS DIREX DLY FINAN BULL 3X 500 $20.02 $22.05 $1.01 $11,024.50 $1,014.50 10.13%
Sell FOCUS MEDIA HLDGS LTD FMCN FOCUS MEDIA HLDGS LTD 700 $15.73 $17.06 $0.54 $11,942.00 $931.00 8.46%
Sell CIRRUS LOGIC INC CRUS CIRRUS LOGIC INC 733 $16.40 $17.64 $0.23 $12,930.12 $906.93 7.54%
Sell CENTURY ALUMINUM CO CENX CENTURY ALUMINUM CO 1,000 $9.16 $9.77 $0.30 $9,770.00 $610.00 6.66%
Sell CITIZENS REPUBLIC BANCORP IN... CRBC CITIZENS REPUBLIC BANCORP INC 10,000 $0.85 $0.90 $0.06 $9,049.00 $530.00 6.22%
Sell RESEARCH IN MOTION LIMITED RIMM RESEARCH IN MOTION LIMITED 300 $50.74 $53.33 $3.87 $15,999.00 $777.00 5.10%
Sell MIPS TECHNOLOGIES INC MIPS MIPS TECHNOLOGIES INC 800 $5.07 $5.28 $0.16 $4,224.00 $168.00 4.14


Kevin_in_GA
4,552 posts
msg #94705
Ignore Kevin_in_GA
7/11/2010 6:42:55 PM

M4M:

Here's what I am seeing from the backtest over the last 4 months.

Approach Name: m4m
Test started on 03/09/2010 ended on 07/09/2010, covering 85 days

Filter used:
close above 4
stock is optionable
average volume(50) above 1000000

set{d5,atr(6)/ma(6)}
set{dd5,d5*100}
set{pro,weekly atr(6)/weekly ma(6)}

rsi(2) below 10
pro between 0.10 and 0.20

add column dd5
add column pro
add column rsi(2)

sort on column 6 descending


Trade Statistics

There were 952 total stocks entered. Of those, 918 or 96.43% were complete and 34 or 3.57% were open.
Of the 918 completed trades, 459 trades or 50.00% resulted in a net gain.
Your average net change for completed trades was: -0.09%.
The average draw down of your approach was: -5.32%.
The average max profit of your approach was: 4.38%
The Reward/Risk ratio for this approach is: 0.96
Annualized Return on Investment (ROI): -7.78%, the ROI of ^SPX was: -15.22%.

Exit Statistics

Stop Loss was triggered 0 times or 0.00% of the time.
Stop Profit was triggered 0 times or 0.00% of the time.
Trailing Stop Loss was triggered 0 times or 0.00% of the time.
You held for the maximum period of time (3 days) 918 times or 100.00% of the time.
An exit trigger was executed 0 times or 0.00% of the time.

Statistics By Holding Period

Completed 2 day chg 5 day chg 10 day chg 25 day chg 40 day chg
Winners: 459 471 441 330 199 64
Losers: 456 471 450 446 340 223
Win/Loss Ratio: 1.01:1 1.00:1 0.98:1 0.74:1 0.58:1 0.29:1
Net Change: -0.09% -0.09% -0.20% -1.15% -2.55% -3.95%

I chose a maximum holding period of 3 days, as you had indicated that you were getting >85% wins in this time frame.

With all due respect, this is nowhere near what you had claimed in terms of consistency, win rate, or return.

Now please let me get back to what I was trying to do with this thread, which was to validate a trading approach in real-time.

Kevin

alf44
2,025 posts
msg #94711
Ignore alf44
modified
7/11/2010 11:54:46 PM


........................................... M4M ... why Kevin and not ME ?



...................................... what am I ... A FRICKEN CARP ?



optionplayer333
801 posts
msg #94712
Ignore optionplayer333
modified
7/11/2010 11:56:05 PM

did you not read what i said about timing the stocks with the tops and bottoms of the .spy vix qid and qld-- your back test date is totally worthless your started in the middle of the 2-5 to 4-15 up move-then you caught the whole down move from 4-15 to 7-2- are you like clueless off in some stupid stock planet that doesnt exist kevin- you have to move with the ups and down of the market mr if you are serious about making money- your work on here is worthless if it doesnt match the waves of the market- you can t do any long term back test because the market changes directions to fast- its a waste of time- mine is real time 5-28 to 6-9 down 6-9 to 6-16 up 6-16 to 7-2 down 7-2 to 7-9 up-that the tops and bottoms of the qld and vix-kevin ask yourself this question- how do you think i win 90% of all the options contests i enter- the last 6 weeks my family has won the weekly option contest on wss with gains of 1400% 1500% 2200% 980% and 590%-its all been done by swing trading the best option stocks - with 2 hours to 3 days time frames-using the system i gave you on here-

Kevin_in_GA
4,552 posts
msg #94720
Ignore Kevin_in_GA
7/12/2010 11:17:08 AM

Had hoped to post this ahead of the bell today, but I've been in meetings and did not get to post this until now - updated to include positions taken at the open of trading this morning:

Long Plays

ID - scored 3/6 on the Connors filters, and has moved more than 2 SD from its usual relationship with the SPY.
In on the open at 7.72, stop loss at 7.38 and profit target at 8.09 (set at open price +/- 1 ATR(10)).

FDO - scored 2/6 on the Connors filters, and closed below the lower BB(20,2).
In on the open at 36.02, stop loss at 34.77 and profit target at 37.25 (set at open price +/- 1 ATR(10)).

ORLY - scored 4/6 on the Connors filters.
In on the open at 46.11, stop loss at 45.01 and profit target at 47.21 (set at open price +/- 1 ATR(10)).

FCN - closed below the lower BB(20,2). My concern here is that this stock is currently below its MA(200), so no hits on the Connors filters.
In on the open at 32.69, stop loss at 30.88 and profit target at 34.50 (set at open price +/- 1 ATR(10)).

RGS - closed below the lower BB(20,2), and has moved more than 2 SD from its usual relationship with the SPY. Again a concern here is that this stock is currently below its MA(200), so no hits on the Connors filters.
In on the open at 13.78, stop loss at 13.05 and profit target at 14.50 (set at open price +/- 1 ATR(10)).


Short Plays

STEC - Scored 6/6 on the Connors filters, closed above the upper BB(20,2), RSI(2) is above 99, and has moved more than 2 SD above its usual relationship with the SPY.
In on the open at 15.36, stop loss at 15.98 and profit target at 14.75 (set at open price +/- 1 ATR(10)).

STP - Scored 6/6 on the Connors filters, closed above the upper BB(20,2), and has moved more than 2 SD above its usual relationship with the SPY.
In on the open at 10.97, stop loss at 11.56 and profit target at 10.39 (set at open price +/- 1 ATR(10)).

AGU - Scored 5/6 on Conners filters, closed above the upper BB(20,2), RSI(2) is above 99, and has moved more than 2 SD above its usual relationship with the SPY.
In on the open at 58.39, stop loss at 60.25 and profit target at 56.53 (set at open price +/- 1 ATR(10)).

PM - Scored 6/6 on the Connors filters, closed above the upper BB(20,2), and gave a BB(16,2.5) SELL signal.
In on the open at 48.57, stop loss at 49.50 and profit target at 47.63 (set at open price +/- 1 ATR(10)).

HAFC - Scored 5/6 on the Connors filters, RSI(2) is above 99, and has moved more than 2 SD above its usual relationship with the SPY.
In on the open at 1.64, stop loss at 1.78 and profit target at 1.50 (set at open price +/- 1 ATR(10)).


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