Daily Results
Follow along each day to see if the system you are studying or auto-trading traded. All results posted are actual, and Robbins Trading Company 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: 2019-04-18
Day Trading Systems
System Market Date Direction Buy Sell
Fenix CL Crude Oil 04/18/19 Long 63.8800 64.0700
MJ 52 DAX DAX 04/18/19 Long 12225.5000 12282.3000
Pegas 1 CL Crude Oil 04/18/19 Long 63.8000 64.0900
Pegas c5 CL Crude Oil 04/18/19 Long 63.9400 64.0800
Pegas c5 CL Crude Oil 04/18/19 Long 63.9400 64.0800
TBUZZ NQ E-Mini NASDAQ 04/18/19 Short 7686.0500 7696.0000


Other Systems
System Market Entry Exit Pos. Dir. Buy Sell
$50K Diversified Market Portfolio Lean Hogs 04/18/19 04/18/19 EXIT Short 96.5460 95.5400
$50K Diversified Market Portfolio Crude Oil 04/18/19 04/18/19 EXIT Long 63.8800 64.0700
$50K Diversified Market Portfolio DAX 04/18/19 04/18/19 EXIT Long 12225.5000 12282.3000
Abraxas T-Notes (10yr) 04/16/19 04/18/19 EXIT Long 122.8593750 123.1093750
BTS / GT Euro 04/18/19 --/--/-- NEW Short ---- 112.9400
Commodex Canadian Dollar Canadian Dollar 04/18/19 04/18/19 EXIT Short 74.7950 75.0000
Commodex Lean Hogs Lean Hogs 04/17/19 04/18/19 EXIT Long 96.3750 94.9000
Edvardus - Euro 1 Euro 04/15/19 04/18/19 EXIT Short 113.3250 113.6350
Edvardus - Euro 2 Euro 04/11/19 04/18/19 EXIT Short 113.0300 113.3750
Invariant A3 E-Mini S&P 04/16/19 04/18/19 EXIT Long 2919.0000 2889.7500
Invariant A3 E-Mini S&P 04/18/19 04/18/19 EXIT Long 2907.5000 2907.5000
Invariant E20 E-Mini S&P 04/16/19 04/18/19 EXIT Long 2919.0000 2889.7500
Invariant E20 E-Mini S&P 04/18/19 04/18/19 EXIT Long 2907.5000 2907.5000
Invariant ES E-Mini S&P 04/16/19 04/18/19 EXIT Long 2919.0000 2889.7500
Invariant ES E-Mini S&P 04/18/19 04/18/19 EXIT Long 2907.5000 2907.5000
Los Angeles LH Lean Hogs 04/18/19 04/18/19 EXIT Short 96.0750 94.7750
MJ 41 LH Lean Hogs 04/18/19 04/18/19 EXIT Short 96.5460 95.5400
MJ 60 FC Feeder Cattle 04/12/19 04/18/19 EXIT Long 150.5500 150.8250
MJ 60 FC Feeder Cattle 04/18/19 --/--/-- NEW Short ---- 150.8000
Morph M03 Portfolio Feeder Cattle 04/12/19 04/18/19 EXIT Long 150.5500 150.8250
Morph M03 Portfolio Feeder Cattle 04/18/19 --/--/-- NEW Short ---- 150.8000
Morph M04 Portfolio Feeder Cattle 04/12/19 04/18/19 EXIT Long 150.5500 150.8250
Morph M04 Portfolio Feeder Cattle 04/18/19 --/--/-- NEW Short ---- 150.8000
Morph M10 Portfolio Feeder Cattle 04/12/19 04/18/19 EXIT Long 150.5500 150.8250
Morph M10 Portfolio Feeder Cattle 04/18/19 --/--/-- NEW Short ---- 150.8000
Morph Portfolio Lean Hogs 04/18/19 04/18/19 EXIT Short 96.5460 95.5400
mSignal FDXM2 Mini Dax 04/15/19 04/18/19 EXIT Long 12041.0000 12228.0000
mSignal FDXM2 Mini Dax 04/18/19 04/18/19 EXIT Long 12221.0000 12226.0000
mSignal FGBL2 Euro-Bund Futures 04/18/19 --/--/-- NEW Long 164.9400 ----
mSignal RTY4 E-mini Russell 04/12/19 04/18/19 EXIT Long 1593.0000 1570.6000
nTrend AD4 Australian Dollar 04/15/19 04/18/19 EXIT Long 71.8900 71.4600
R-Cog Nasdaq 100 E-Mini NASDAQ 04/18/19 04/18/19 EXIT Long 7687.0000 7694.5000
RJTICHARTS CRUDE OIL 60 BANG Crude Oil 04/18/19 04/18/19 EXIT Long 64.1800 63.6400
RJTICHARTS CRUDE OIL 60 BANG Crude Oil 04/18/19 04/18/19 EXIT Short 64.0600 63.7100
RJTICHARTS CRUDE OIL 60 BANG Crude Oil 04/18/19 --/--/-- NEW Long 64.0600 ----
T-21 Copper 04/18/19 04/18/19 EXIT Short 292.2000 291.2500
T-21 Sugar 04/18/19 04/18/19 EXIT Long 12.7400 12.9800
T-21 Mini Dow 04/18/19 04/18/19 EXIT Long 26583.0000 26557.0000
 
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.