Top Tables for 2005Mar   Apr   May   Jun   Jul   Aug   Sep   Oct   Nov   Dec   2006Jan   Feb   Mar   Apr   May   Jun   Jul   Sep   Dec   2007Feb   Jul

Top Gainers and Smoothies for Actual results

The system components shown below made a profit in the time-frames listed, but may have had losses in other time-frames. And many systems have suffered significant losses. Be careful interpreting numeric results, because they do not show the shape of the equity curve. Please see the *All Current Actuals basket for details, where you can also view multi-charts showing the equity curves for up to 10 components at once.

Top Gainers for Actual results to the end of 2006-Mar   
Top Gainers, Long-term
System, Contract Average annual Profit
KnockKnockP-EuroC-Actual 69%
AxiomIndx-miniMD-Actual 45%
AdaptiveSP-miniSP-Actual 24%
Compass-SP-Actual 20%
Top Gainers, One-year
System, Contract Mos 12-month Profit
TurboTrd&Pro-miniRL-Actual 7 40%
BounceMDRL-2miniRL-Actual 17 26%
AxiomIndex-miniMD-Actual 20 25%
Tanker-miniCL-Actual 6 20%
Compass-SP-Actual 72 18%
Delphi-miniRL-Actual 6 17%
SeasonalST-miniSP-Actual 15 16%
BWT.Apex-SP-Actual 10/e1 15%
SeasonalST-miniND-Actual 15 4%
Delphi-miniMD-Actual 6 4%
Top Gainers, One-month
System, Contract 1-month Profit
TurboTrd&Pro-miniRL-Actual 21%
Delphi-miniRL-Actual 7%
Delphi-miniMD-Actual 3%
Tzar-miniND-Actual 3%
Impetus-miniRL-Actual 2%
Top Gainers have the highest percentage gains: average annual gain over the long-term (all our data, minimum 18 months) or one-year (last 12 months, NOT annualized; Mos = number of months data we have); or one-month gain (most recent month). Percentages are based on Conservative account size, typically 5 * margin, and take commissions & cost of system into account. Components with no data for the most recent two (2) months are excluded.

Top Smoothies for Actual results to the end of 2006-Mar   
Top Smoothies, Long-term
System, ContractFigure of Merit
KnockKnockP-EuroC-Actual 71
AdaptiveSP-miniSP-Actual 27
Compass-SP-Actual 15
Top Smoothies, One-year
System, ContractFigure of Merit
Compass-SP-Actual 15
Top Smoothies have posted the highest Figure of Merit, which is a measure of percentage gain, consistency (based on the Sharpe ratio), and drawdown (based on the Sterling ratio). The higher the number the better. We need at least 24 months data to calculate the Figure of Merit, but the one-year numbers emphasize the most recent 12 months.
Top Gainers and Smoothies tables are based on Actual results: i.e. trades that were actually executed, taking into account real-world factors and anomalies in trade execution. Net profit is reported, using realistic (we believe) allowances for commission & fees, and cost of system. Percentages are based on conservative account size, typically 5 * margin, with no compounding. Since results are reported for continuously trading a single contract, they do not allow for financial risk, or trader's (emotional) behaviour such as deciding when to start trading a system, changing the number of contracts, omitting some trades, or quitting in the face of a large drawdown. Therefore even Actual results are to a large extent Hypothetical.
Note: Ratings from these tables may be quoted by System Developers, etc. providing that the system-contract and date of the results are included. E.g. "System-Contract was ranked in Futures Examiner's Top One-year Gainers for (results to the end of) 2005-Feb."
Caution: Commodity trading involves substantial risk of LOSS, and is not appropriate for everyone. Do not trade with funds you can not afford to LOSE!!
ACTUAL results should be viewed with caution, because PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.
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