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Calculate your performance: Key Option Strategies - UNDER CONSTRUCTION

Key Option Strategies Performance 2009-10

This is a record of our Key Option Strategies recommendations sent out by email with detailed technical and macro reasoning. The performance calculations assume notional trading positions whose size is adjusted so that the same proportion of trading capital is risked with every trade. Risk is judged to be the difference between the opening trade and the initial Stop Loss.

We believe these returns fairly represent the actual returns subscribers might reasonably expect to achieve trading our recommendations given their frequency and the liquidity of the markets. Returns on uninvested funds are not included so the actual returns would be materially higher.

To discover the performance you could have enjoyed each year using Key Option Strategies, enter your trading capital and the proportion you are willing to risk on each trade.

         

Year
end
Annual
return
%
Trading
capital
(re-investing
profits) £
Best
monthly
return
%
Worst
monthly
drawdown
%
2009 1.11 1,011,144 +1.01 -0.44
2010
(to date)
3.30 1,044,512 +4.88 -3.06

Key Option Strategies subscribers receive real time notification of all our recommendations
with detailed Macro and Technical reasoning

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