After a little tweaking, I have better results for some stocks. Here are a few results for volatile stocks. Again, each trade is 10k, commission and slippage is accounted for
UAUA +200% in 1 yr
SMN +60% in 1 yr
PRU no good
LDK +250% in
HES chop
FXP
DRYS +350% in
CLF +200% in
MGM +100% in 6 months
EXM +150% in
ENER +80% in < style="text-decoration: underline;">
Now the big question is, will this kind of volatility continue? Or is this strategy sooooooo last year.