Web Advisory | Trading Strategy | High-Frequency Market Analysis

Duration: 10+ Years

High-Frequency Swing Trading Platform

Launched and operated a proprietary trading recommendation service with a 91% monthly win rate over a 10-year span, delivering 60%+ average annual returns. Achieved seven consecutive years of triple-digit gains, including:

  • YTD 2009: +119%
  • FY 2008: +203%
  • FY 2007: +152%

Creator – acuTRADE Trading System Software

Engineered a proprietary supply/demand algorithm within the acuTRADE platform, written in C++ and ELD.

The system provides:

  • Objective-based trade planning
  • Scalable methodologies for position, swing, and high-frequency trading
  • Hardwired buy/sell stop logic
  • Proven consistency in drawdown control and profit harvesting

Global Coaching & Mentoring

Trained thousands of traders and investors across disciplines in:

  • Technical analysis and market structure
  • Trade execution strategies
  • Risk-managed position planning
  • Real-time trading decision frameworks

Institutional & Academic Leadership

Delivered advanced seminars and keynotes on technical analysis and trading methodology at:

  • Harvard University
  • MIT
  • Bentley College
  • Babson University
  • Bloomberg NYC
  • Boston Stock Exchange
  • Boston Security Analysts Society
  • Investor’s Business Daily (IBD)

Strategic Industry Partnerships

Forged business development alliances with leading trading and software firms, including:

  • TradeStation
  • TradingView
  • MultiCharts
  • MetaStock
  • NinjaTrader

Global Prop Trading Consulting

Provided custom strategy development, training, and system integration to proprietary trading firms—including traders operating on the Chicago Mercantile Exchange and other institutional platforms worldwide.

Important Risk Information

An investment in financial instruments involves risks, including the possible loss of principal. The rate of return will vary and the principal value of an investment will fluctuate. Shares, if redeemed, may be worth more or less than their original cost. Asset allocation does not assure a profit or protect against down markets.
The stocks of smaller companies may be subject to above-average market-price fluctuations. There are specific risks associated with international investing, such as currency fluctuations, foreign taxation, differences in financial reporting practices, and rapid changes in political and economic conditions. Real estate investments may be subject to specific risks, such as risks related to general and local economic conditions and risks related to individual properties. Fixed income securities are subject to interest rate risk, prepayment risk and market risk. An investment in financial instruments involves risks, including the possible loss of principal. Hypothetical performance does not guarantee future results and the investment return and principal value of an investment will fluctuate so that an investor's shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than performance quoted.

Not FDIC Insured * May Lose Value * Not Bank Guaranteed.