A quick self analysis of my system:
Total Trades: 402
Closed Trades 392 - All 392 positive. Not a single closed trade ended up as a loss
Open trades 10 - 2 positive and 8 currently showing a loss. These will be closed once they reach a predetermined profit level.
Growth: 54.30% since inception
Thanks
You are about tied with a simple buy and hold on the S&P 500, but suffered through a 64% drawdown during one of the more bullish periods in recent history. Your system shows only market level returns with unusually high risk. You have absolutely no risk controls in this strategy.