THE OPTIMIZED PORTFOLIO – A SIMPLE COOKBOOK AND PROFITABLE TRADING PORTFOLIO – NO THINKING AT ALL REQUIRED

THERE IS NO LONGER ANY EXCUSE FOR ANYONE NOT TO MAKE MONEY IN THESE MARKETS, JUST FOLLOW THE SIMPLE INSTRUCTIONS FOR THE OPTIMIZED PORTFOLIO AND BE ON YOUR PATH TO FINANCIAL GROWTH...

HOW TO USE THE OPTIMIZED PORTFOLIO

 A SAMPLE OF OUR OPTIMIZED PORTFOLIO CAN BE SEEN BELOW
The entire optimized listing as presented is a widely diversified portfolio of varied market interests, and we know that wide diversification is the key to reducing market risk in any portfolio...  therefore, the key to legitimate long term profit with this portfolio is to have positions widely and even distributed among as many of the different market groups as possible...  in other words, do not focus on only one market or favor one market over another, do not attempt to pick winners and losers with a heavy position in one market and a light position in another, one should invest the same dollar amount into each position...
Commit between 2% and 2.5% of your entire account to any one position and no more than that, this way your dollar risk will be evenly distributed among all markets...
Participate in as many markets as possible, treat them all the same, this will further reduce your risk and increase your likelihood for profit...
Upon entry of any new position, the initial exit stop is a 2% risk for that position, plus or minus a few ticks...  if you get stopped out, then that's the end of that trade, do not attempt to chase that market, just wait for the next signal opportunity, it will come soon enough...  if you are not stopped out, then the trailing exit stop will rise as the market also rises...  this will allow you maximum gains for any active position for as long as that market rallies...
About 1 in 6 or 1 in 7 new positions are stopped out at the initial exit stop, the other positions quickly recoup that 2% loss and generates further gains...
Several of the 3X leveraged ETF instruments are listed in the optimized portfolio upon request, but be very cautious if you trade any of the 3X leveraged ETF instruments, the price decays rapidly and is not a true investment market, it's only a near term hedge instrument...
 
ALL EXIT STOPS LISTED BELOW SHOULD BE ENTERED ONLY AFTER THE INITIAL BUY STOP HAS BEEN TRIGGERED AND THE POSITION IS ACTIVE...
 
ALL OPEN POSITIONS HAVE THEIR EXIT STOPS LISTED FOR THE FOLLOWING DAY, THEY MAY NOT CHANGE EVERY DAY...
 
 We at Main Model Signals have been trading the optimized portfolio since 8/20/15 only for the SP and have now broadened the portfolio to all the ETF markets, both domestic and foreign, we have back tested the optimized portfolio more than 20 years and have been trading the optimized portfolio in real time this year, the real time results are consistent with all our back testing...  we are now making the entire optimized portfolio available to all our subscribers...
BELOW IS A SAMPLE OF THE LISTING FOR OUR OPTIMIZED PORTFOLIO, YOU WILL MAKE MONEY IF YOU FOLLOW THE SIMPLE INSTRUCTIONS PRESENTED AT THE TOP OF THIS PAGE...
THIS LISTING IS KEPT CURRENT EACH DAY AND IS INCLUDED IN EACH AND EVERY EVENING BRIEFING...
ADDITION MARKETS ARE CONTINUOUSLY ADDED AT THE REQUEST OF OUR SUBSCRIBERS, SO WE WILL ALSO ADD YOUR FAVORITE MARKETS AS A SUBSCRIBER...
MARKET POSITION BUY STOP EXIT STOP SHORT STOP EXIT STOP
STOCK INDICES
Sept ES flat 2452.25 2413.25 2412.75 2447.75
DIA long 211.49
UDOW long 119.18
SPY flat 245.11 240.10
SPXL long 33.88
UPRO long 103.20
QQQ flat 144.00 141.02
TQQQ flat 112.23 109.88
TNA long 53.55
SOXL flat 113.18 110.81
IWM long 138.91
MDY long 314.27
IYT long 167.04
VXX flat 13.95 13.57
XIV long 79.08
BEAR STOCKS
SDOW flat 32.49 30.54
SPXU flat 15.98 15.02
SPXS flat 41.88 39.36
SQQQ flat 32.82 30.85
TZA flat 18.35 17.24
SOXS long 29.19
PRECIOUS METALS
Aug Gold short 1291.20 1265.20 1260.10
GLD flat 123.38 120.86
SLV flat 16.85 16.41
GLL long 73.92
ZSL long 31.29
PPLT flat 92.65 90.69
FNV flat 76.37 74.74
RGLD flat 81.36 79.63
GDX flat 22.96 22.4
GDXJ flat 35.15 34.34
ABX flat 17.14 16.69
AEM flat 50.68 49.56
HUI flat 204.65 200.45
NUGT flat 38.94 36.06
JNUG flat 21.90 21.36
DUST flat 32.85 32.09
JDST flat 80.96 79.24
INTEREST RATES
TLT long 125.63
TMF long 21.24
TBT flat 36.86 36.02
TMV flat 20.23 19.72
VCLT long 93.09
UTILITIES
XLU flat 54.73 53.52
AEROSPACE AND DEFENSE
ITA flat 160.72 157.40
FINANCE AND BANKING
FAS long 46.38
FAZ flat 19.28 18.79
XLF flat 24.69 24.09
ENERGY
XLE flat 67.62 66.16
OIH flat 26.70 26.06
CONSUMER DISCRETIONARY
XLY flat 92.52 90.56
WMT flat 80.52 78.80
HEALTHCARE
IBB long 290.40
CURE long 38.47
XLV long 77.18
CURRENCIES
EUO flat 24.47 23.88
ULE long 15.47
FXY flat 88.45 86.58
YCS long 71.40
FOREIGN MARKETS
FXI flat 40.75 39.83
EURL flat 33.21 32.44
EEM flat 42.13 41.18
EZU flat 42.08 41.13
TECHNOLOGY
MU long 29.72
SSYS flat 28.98 28.30
DDD flat 22.67 22.11
THE REAL TIME OPTIMIZED TRADING HISTORY FOR THE SP ONLY
Below this real time SP trading history is a sample the complete optimized portfolio you will see in each and every evening briefing...
8/20/15 Short at 2048.40
8/27/15 Flat at 1948.50 - - Net gain $24,975, total gain $24,975
9/28/15 Short at 1939.00
10/5/15 Flat at 1951.60 - - Net loss $3250, total gain $21,825
10/15/15 Long at 2013.40
11/9/15 Flat at 2077.60 - - Net gain $16,050, total gain $37,875
12/1/15 Long at 2097.30
12/3/15 Flat at 2071.10 - - Net loss $6550, total gain $31,325
12/7/15 Short at 2071.50
1/29/16 Flat at 1907.80 - - Net gain $40,925, total gain $72,250
2/5/16 Short at 1888.50
2/16/16 Flat at 1876.50 - - Net gain $3000, total gain $75,250
2/25/16 Long at 1943.70
4/28/16 Flat at 2075.10 - - Net gain $32,850, total gain $108,100
5/13/16 Short at 2055.50
5/24/16 Flat at 2069.40 - - Net loss $3475, total gain $104,625
5/25/16 Long at 2086.90
6/13/16 Flat at 2083.70 - - Net loss $800, total gain $103,825
6/23/16 Long 2098.60
6/24/16 Flat at 2071.00 - - Net loss $6900, total gain $96,925
7/8/16 Long at 2117.10
8/2/16 Flat at 2156.10 - - Net gain $9750, total gain $106,675
8/5/16 Long at 2174
8/26/16 Flat at 2172.80 - - Net loss $300, total gain $106,375
9/2/16 Long at 2173.40
9/9/16 Flat at 2159.50 - - Net loss $3475, total gain $102,900
9/22/16 Long at 2154.40
10/3/16 Flat at 2161.40 - - Net gain $1750, total gain $104,650
11/1/16 Short at 2116.20
11/7/16 Flat at 2100 - - Net gain $4050, total gain $108,700
11/8/16 Long at 2131.90
12/1/16 Flat at 2198.60 - - Net gain $16,675, total gain $125,375
12/7/16 Long at 2206
12/28/16 Reversed to short at 2252.60 - - Net gain $11,650, total gain $137,025
1/3/17 Flat at 2255.40 - - Net loss $700, total gain $136,325
1/4/17 Long at 2263.80