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Trade Robot Fund A TR Home

Comparison with Major Indexes

Bellow you can find the comparison of monthly returns of Dow Jones Industrial Average, Standard & Poor 500, Nasdaq Composite and Trade Robot Fund A for 18 most recent months.


MONTH
DJIA
S&P 500
NASDAQ
TR F A
Aug-07
1,44%
1,06%
1,75%
-0,44%
Sep-07
4,02%
3,58%
4,05%
6,14%
Oct-07
0,25%
1.45%
5,73%
3,41%
Nov-07
-3,97%
-4,18%
-8,26%
2,10%
Dec-07
-0,77%
-0,76%
-0,10%
0,50%
Jan-08
-9,95%
-6,09%
-4,61%
-1,99%
Feb-08
-2,94%
-3,48%
-5,06%
3,70%
Mar-08
-0,01%
-0,58%
0,35%
4,50%
Apr-08
4,51%
4,46%
4,61%
2,65%
May-08
-1,40%
1,04%
4,39%
-1,21%
Jun-08
-10,19%
-8,55%
-8,82%
4,30%
Jul-08
0,29%
-0,69%
2,26%
-1,48%
Aug-08
1,44%
1,06%
1,75%
-12,07%
Sep-08
-6,02%
-9,56%
-12,91%
-6,60%
Oct-08
-13,92%
-16,79%
-17,07%
-2,25%
Nov-08
-5,33%
-7,48%
-10,67%
-3,16%
Dec-08
-0,57%
1,65%
5,41%
7,56%
AVG:
-2,54%
-2,83%
-2,19%
0,33%
TOTALS:
-43,12%
-45,31%
-37,20%
5,66%

 

Trade Robot Fund A has in the last 18 months outperformed the 3 major indexes by an average of 47,54 percentage points, while the average monthly return of the Trade Robot Fund A was 2,85 points higher than the average monthly return of the three major indexes.

 

Risk disclosure:

Please remember that trading in Foreign Exchange (FOREX) involves a high degree of risk and are not suitable for everyone. Also, remember that past performance may not be an indication of future results.
Hypothetical performance results have many inherent limitations. No representation is being made that any account will or is likely to achieve profits or losses similar to those shown. In fact, there are frequently sharp differences between hypothetical performance results and the actual results subsequently achieved by any particularly trading program. One of the limitations of hypothetical performance results is that they are generally prepared with the benefit of hindsight. In addition, hypothetical trading does not involve financial risk. Variables such as the ability to adhere to a particular trading program in spite of trading losses as well as maintaining adequate liquidity are material points which can adversely affect actual real trading results.

 

 

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