See my stats in real $$$ numbers below. Whether anyone followed me with $300 per trade since last year or if one started later in June or mid-July 2017 (into all stocks I covered), then each follower of my strategy allocation with trades is up huge right now.
***$300 Allocated*** Into Each Trade Became $4,693 for a Total Yield of 1,360% in Less Than 9 Months (November 2016 - August 1, 2017). This is not compounded interest or cumulative. Just putting $300 in each stock I've ever covered based on average median-range practical & realistic results, & adding up each profit. All that while doing my allocation strategy, making any losses along the way insignificant. My strategy provides protection from large overall losses and crazy up-down acct swings in value that comes from what other average people do with trading. Below are the low and high range results.
>>>Lowest range results = 900% ($300 into $3327 thru August 1). Avg median range listed above ($1,360%) >>>High end range = 1,820% ($300 into $6,060 thru August 1).
Average result net profit of 86% per trade (including any losses) Average hold time only 2 - 2.5 weeks
Even if you plugged $300 into my trades starting in early July or early June 2017 , the net results in 4 weeks or 7-8 weeks are amazing by simply allocating $300 into each subpenny trade