This service will never have a cap of more than 30 subscribers. Initially the limit will be set at 15.
Our main Goal here will be to seek to make
200%a year on each portfolio. That is why we are setting such a tight cap on the number of subscribers.
The service comes with a pay per performance guarantee each month we have to
make 16.65%, if we fail to make this a portion of the fee is refunded, to the
point that if nothing is made that month the entire payment is refunded back.
This service is now fully operational and the first 15 slots have been fully
sold out, if you would like to be considered for this service please email us at
viptrader@tacticalinvestor.com
you
will need to put aside a minimum of 10K for this portfolio
Similar services charge as much as 500 a month, and have subscriptions bases of 1000 or more. So with our small total base of 30, but currently set to 15, you can understand that this service will not be cheap, however we are not suggesting that we will charge 500 a month, we are just using these prices to give you an idea that this service will not be cheap and it is not meant for everyone.. Weiss option service charges 5K a year and they have 1K or more subscribers.
However this service is performance based, meaning if it does not deliver you do not pay, that actually means in reality its free, since you will be paying from the profits you have generated as results of the trades issued by this service.
More details on the payment structure will emailed to individuals who have put their name down for this service.
Details on this service.
1) A sector scan is performed to identify the strongest sectors.
2) A second sector scan is performed to find the sectors that have had the biggest % change in strength. This is where those big huge 500% winners are discovered, if you are able to get into a sector just as its gaining strength, 8 out of 10 times you will walk away with huge winners Then the stocks showing most strength in those respective sectors are selected, the rest are dumped
3) Once these sectors are identified, the next step is to find the strongest stocks within these sectors.
4) Then each selected stock is put through a battery of 10-15 custom TA Tests, if the stock fails on more than 3 of these Tests it is removed from the list. Some of the tests we use are we use are macds, stochastics, rsi etc, what separates us from the others is the way we use these tools. We use specific sequences and the settings are not the standard settings used. For example we have criteria’s that rate a buy given by MACDS, RSI, STOCHASTICS, higher than a buy given by the ultimate oscillator, stochastics, and DMI
5) The remaining list is put through Standard Deviation analysis, again we use or own custom settings
6) Multi time frame analysis is next. This basically involves using multiple time frames to look at the stock i.e. 60, 90, 120 and 180 min, daily weekly, monthly and quarterly charts. The objective here is to get a buy signal or sell signal on as many of those time frames as possible.
Each test is assigned a score, some tests have a higher weighting than other so a stock could score extremely low on one but medium on the other and still be a buy or score very high on one but low on the other and thus not even make it to the list.
7)The final list is now put through the last test. Esoteric cycle analysis and buy or sell signals are issued on each stock, this is the most time consuming part of the process and the most important one.
From a list of 200 plus stocks we are usually left with no more than 5-10 plays.
There might be
occasions when we don't find any suitable picking, at which point we will issue options plays, but only ones that pass a very strict set of
criteria's. This option will only be employed in the event we are unable to locate
suitable plays.