Daily Results
Follow along each day to see if the system you are studying or auto-trading traded. All results posted are actual, and Icon Alternatives LLC uses Average Price System (APS) so that all clients enjoy the same fills. These results are posted daily by 4pm CST.

*** Past performance is not necessarily indicative of future results. Results are key punched and subject to human error.
Last Trading Date: 2018-11-16
Day Trading Systems
System Market Date Direction Buy Sell
Alkhemist CL Crude Oil 11/16/18 Long 57.7800 56.7700
Fusion Alpha Portfolio Crude Oil 11/16/18 Long 57.7800 56.7700
Krios 2 TF E-mini Russell 11/16/18 Long 1525.5000 1531.1500
Krios 2 TF E-mini Russell 11/16/18 Long 1525.5000 1531.1500
MJ 27 CL Crude Oil 11/16/18 Long 58.0600 56.5700
MJ 33 CL Crude Oil 11/16/18 Long 57.8200 56.6700
MJ Portfolio 05 Crude Oil 11/16/18 Long 58.0600 56.5700
Pegas c4 CL Crude Oil 11/16/18 Long 57.2000 56.6800
Pegas c4 CL Crude Oil 11/16/18 Long 57.2000 56.6800
Petronel BANGKOK portfolio E-mini Russell 11/16/18 Long 1525.5000 1531.1500
Petronel BANGKOK portfolio E-mini Russell 11/16/18 Long 1525.5000 1531.1500
Petronel SYDNEY portfolio E-mini Russell 11/16/18 Long 1525.5000 1531.1500
Petronel SYDNEY portfolio E-mini Russell 11/16/18 Long 1525.5000 1531.1500
Sentinel NQ WFO E-Mini NASDAQ 11/16/18 Short 6861.0000 6847.9200
Spring ES E-Mini S&P 11/16/18 Long 2742.2500 2738.0000


Other Systems
System Market Entry Exit Pos. Dir. Buy Sell
Axiom Index II WFO NQ E-Mini NASDAQ 11/16/18 --/--/-- NEW Long 6899.4800 ----
Chazaq 35k Portfolio E-Mini S&P 11/16/18 11/16/18 EXIT Long 2732.0000 2741.5000
Commodex Canadian Dollar Canadian Dollar 10/22/18 11/16/18 EXIT Short 76.0800 76.4350
Commodex CC Cocoa 11/15/18 11/16/18 EXIT Short 2267.0000 2207.0000
Commodex Gold Program Gold 11/08/18 11/16/18 EXIT Short 1224.9000 1224.5000
Commodex Gold Program Gold 11/16/18 --/--/-- NEW Short ---- 1222.0000
Commodex Yen Japanese Yen 10/31/18 11/16/18 EXIT Short 0.8887 0.8882
Full Boat Japanese Yen 11/16/18 --/--/-- NEW Long 0.8880 ----
Gator EC Euro 11/15/18 11/16/18 EXIT Long 113.2700 114.2000
Gator Platinum Portfolio Euro 11/15/18 11/16/18 EXIT Long 113.2700 114.2000
Index Trader I E-Mini S&P 11/16/18 11/16/18 EXIT Long 2742.2500 2738.0000
KJ Diversified A Soybeans 10/29/18 11/16/18 EXIT Long 859.0000 885.0000
KJ Diversified A Gold 11/09/18 11/16/18 EXIT Short 1220.4000 1213.1000
KJ Diversified A Japanese Yen 11/12/18 11/16/18 EXIT Long 0.8814 0.8822
KJ Diversified A Japanese Yen 11/16/18 11/16/18 EXIT Short 0.8880 0.8822
M-Core ES1 E-Mini S&P 11/15/18 11/16/18 EXIT Long 2702.0000 2746.0000
Marko Grcic S&P 500 E-Mini and U.S. T-Bond E-Mini S&P 11/15/18 11/16/18 EXIT Long 2689.0000 2721.0000
Marko Grcic S&P 500 E-Mini Conservative E-Mini S&P 11/15/18 11/16/18 EXIT Long 2689.0000 2721.0000
MJ 41 LH Lean Hogs 11/16/18 --/--/-- NEW Long 59.2500 ----
MJ 60 FC Feeder Cattle 11/16/18 --/--/-- NEW Short ---- 146.5250
Morph M03 Portfolio Feeder Cattle 11/16/18 --/--/-- NEW Short ---- 146.5250
Morph M04 Portfolio Feeder Cattle 11/16/18 --/--/-- NEW Short ---- 146.5250
Morph M10 Portfolio Live Cattle 11/07/18 11/16/18 EXIT Long 115.7250 114.9500
Morph M10 Portfolio Live Cattle 11/16/18 11/16/18 EXIT Short 115.0750 114.9750
Morph M10 Portfolio Live Cattle 11/16/18 --/--/-- NEW Long 115.1000 ----
Morph M10 Portfolio Feeder Cattle 11/16/18 --/--/-- NEW Short ---- 146.5250
Morph Portfolio Lean Hogs 11/16/18 --/--/-- NEW Long 59.2500 ----
RJTICHARTS CRUDE OIL 60 BANG Crude Oil 11/14/18 11/16/18 EXIT Long 56.2100 56.6300
RJTICHARTS CRUDE OIL 60 BANG Crude Oil 11/16/18 --/--/-- NEW Short ---- 56.9300
T-21 T-Bonds (30yr) 11/16/18 11/16/18 EXIT Long 139.4686750 139.5312500
Vista IIB E-Mini NASDAQ 11/16/18 11/16/18 EXIT Short 6861.0000 6847.9200
Vista IIIB E-Mini NASDAQ 11/16/18 11/16/18 EXIT Short 6861.0000 6847.9200
Vista IV ST E-Mini NASDAQ 11/16/18 11/16/18 EXIT Short 6861.0000 6847.9200
Vista VI ST E-Mini NASDAQ 11/16/18 11/16/18 EXIT Short 6861.0000 6847.9200
Vista VIII ST E-Mini NASDAQ 11/16/18 11/16/18 EXIT Short 6861.0000 6847.9200
 
Disclaimer The risk of trading can be substantial and each investor and/or trader must consider whether this is a suitable investment. Past performance is not necessarily indicative of future results.

Futures Trading Disclaimer:
Transactions in securities futures, commodity and index futures and options on futures carry a high degree of risk. The amount of initial margin is small relative to the value of the futures contract, meaning that transactions are heavily "leveraged". A relatively small market movement will have a proportionately larger impact on the funds you have deposited or will have to deposit: this may work against you as well as for you. You may sustain a total loss of initial margin funds and any additional funds deposited with the clearing firm to maintain your position. If the market moves against your position or margin levels are increased, you may be called upon to pay substantial additional funds on short notice to maintain your position. If you fail to comply with a request for additional funds within the time prescribed, your position may be liquidated at a loss and you will be liable for any resulting deficit.