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Buy the Dip Trading Strategy – S&P 500 (SPY) (#49) Volatility Trading 1% annual return (CAGR)✅ 32%

SKU: 25063593268

4.6
USD174.95 USD196.95

Pay in 4 interest-free payments of $43.74 Learn more

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Ships within 48 hours · Estimated delivery Aug 18 - Aug 23

Description

1% annual return (CAGR)✅ 32% market exposure✅ Risk-adjusted return: 20%✅ Max drawdown: -15%

9% average gain per trade✔️ 77% win rate✔️ Profit factor: 6✔️ 7

95% average gain per trade✅ 75% win rate✅ Profit factor: 2

and bonds (TLT) – designed for broad asset class exposure

Buy the Dip Trading Strategy – S&P 500 (SPY) (#49) Volatility Trading 1% annual return (CAGR)✅ 32%A mean reversion swing strategy that capitalizes on pullbacks during long term bullish trends backtested on the SPY ETF tracking the S&P 500. 284 trades 0. 4% average gain per trade 71% win rate Profit factor: 2. 4 3. 4% annual return (CAGR) 9% market exposure Risk adjusted return: 34% Max drawdown: 14% Youll get the full trading rules ready to test and validate. Some example code for popular platforms is included. Want it? Just ask.

Exchange/Return Notes
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