Every quarter, we publish the performance of ZYX Global Multi-Asset Allocation Model. As of Sept 30, 2010, the model produced 195.26% return in excess of S&P 500 since inception of the model in Oct 2007 while taking significantly less risk. The model has produced 205.83% return in excess of MSCI ACWI.
The model has kept up its performance in 2010. In 2010 to Sept30, the model has produced 24.66% return in excess of S&P 500 and 25.16% in excess of MSCI ACWI. Read more …..
www.thearorareport.com
THE ARORA REPORT, Ltd.
HOME OF THE UNIQUE ZYX CHANGE METHOD
DEDICATED SOLELY TO PROFIT FROM CHANGE BY TRADING AND INVESTING
VERIFIABLE PERFORMANCE RECORD
Every closed trade since 2007, without exception, is included in the performance results.
Number of winning positions: 162
Number of losing positions: 10
Average annualized % return per position: 296.77%
………………Check out details .
THE ARORA REPORT, Ltd.
HOME OF THE UNIQUE ZYX CHANGE METHOD
DEDICATED SOLELY TO PROFIT FROM CHANGE BY TRADING AND INVESTING
VERIFIABLE PERFORMANCE RECORD
Every closed trade since 2007, without exception, is included in the performance results.
Number of winning positions: 162
Number of losing positions: 10
Average annualized % return per position: 296.77%
………………Check out details .