Although better than buy and hold I was not particularly happy with my trading performance in 2020 and decided to knuckle down and work on improving my existing edges. I now trade two portfolios. A short-term portfolio and a long term portfolio. Both are based on the trading strategies and ideas presented in Marwood Research.
The goal of my trading is to eliminate mistakes and compound my returns over time. Right now, I’m very happy with how things are progressing.
The following table shows our YTD results as of 15 September 2021:
|Short Term Portfolio||57.9|
|Long Term Portfolio||30.7|
Please note: Financial trading is risk and you can lose money. Past performance is not a reliable indicator of future returns. Please see our full disclaimer.