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Algorithms and Strategies Which Produce Short-Term Profits and Capital Gains in Up and Down Markets
Released on Wednesday, May 12, 2021•TOOLS
The Bull & Bear Tracker, an S&P 500 long and short ETF trading algorithm, generated a gain of 183% vs. the S&P 500's 46% for the three years ending on March 31, 2021. The Bull Vix Algorithm which trades corrections from market tops generated gains of 98%, 82%, and 116% vs. a gain of 4.4%, loss of 9.6%, and loss of 15.2% for the S&P 500's last three major drawn downs: Q1-2018, Q4-2018, and Q1-2020. This presentation will cover utilization of the Bull Vix algorithm to hedge a portfolio against losses, empirical data in support of the S&P 500 being at a secular bull high and its fourth Perilous Peak since 1881, and the strategies to deploy to enable a portfolio to grow in a Secular Bear and declining market.
Michael Markowski
AlphaTack,
Director of Strategies
Algorithm developer Michael Markowski, who was named by Fortune Magazine as one its 50 great investors, has a track record for predicting market tops and bottoms. He utilized one of his algorithms to predict the collapses of the US' five largest brokers including Lehman, Bear Stearns, and Merrill Lynch in a September 2007 Equities Magazine article. In a September 2018, Fox Business interview Mr. Markowski emphatically predicted the violent Q4 2018 correction and the precise 34% decline of the 2020 correction. He is the director of strategies for AlphaTack.com a developer of strategies to grow assets against the wind, and is also the director of research for DynastyWealth.com.
Mr. Markowski has developed numerous high-performance algorithms since entering the capital markets with Merrill Lynch in 1977. He is an experienced analyst, portfolio manager, and underwriter of IPOs and an expert on market sentiment, secular markets, and identifying stocks with 10X upside potential. The Wall Street Journal, Fortune, and Forbes have acknowledged his expertise in analyzing the cash flow statements of publicly held companies.
Mr. Markowski has developed numerous high-performance algorithms since entering the capital markets with Merrill Lynch in 1977. He is an experienced analyst, portfolio manager, and underwriter of IPOs and an expert on market sentiment, secular markets, and identifying stocks with 10X upside potential. The Wall Street Journal, Fortune, and Forbes have acknowledged his expertise in analyzing the cash flow statements of publicly held companies.
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