Looking for input on my strategy mix

Pretty new here at C2 but love the concept! I have been auto trading 11 accounts now for a Month and would like some feedback. I have been reading about correlation between systems and would look for some constructive feedback on how these systems might work together over time. These systems are trading a 500k account. I know I am heavy on futures but think I have some approaches here that are different. I admit I am not a big number cruncher so that might be my downfall here trying to get this to work. I appreciate the private message help from LeslieGray, TT3, and Normanbooth2 to help me get started. Here is my strategy mix at the moment.
XLN SP500 emini
Vix Trader
Trend Countertrend
The Momentum of Now
S&P500 Enhanced w Gold
Regular Income
Redcrest SP500
Payoff Matrix
Gewinn Futures Agressive
Don’t Worry
Correlation Factor

Some of your strategy mix contains some really new strategy’s. I know most of us here for some time see so many strategy’s fail in the first 5 months. Personally I wait to see if it is still around in 6 months and then at that point consider using real money. Just my thoughts from hard earned lessons with real money.

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