We offer a service of alerting speculators of high probability trades prior to their occurrence. This leads to a list of open positions that we have in our modeled portfolio. Clients receive detailed weekly analytical reports on all instruments that are in our portfolio. An example would be
- Long EURUSD @1.1721| Stop Loss @ 1.1623| Take Profit @ 1.2700
- Long Crude Oil @ 56.50| Stop Loss @ 53.50| Take Profit @ 63.21
- Long Gold @ 1204| Stop Loss @ 1145| Take Profit @ 1371
Speculators would get a detailed weekly report on the three instruments in our portfolio with intraweek alerts when needed. Such reports would detail our bias on each market and explain the reasons why we should hold, liquidate or reverse any of the positions in our modeled portfolio. Speculators are also able to request weekly reports on custom instruments that are not presented in our modeled portfolio for an additional fee.