S&P 500 Energy Sector – FlyStock Signal History

Total Average +26%

Total
Signals
10
2000-2022

Average Gain
30%
9 Successful Signals

Average Loss
8%
1 Unsuccessful Signal

Buy and Hold $100 Invested Return = $228

System Return $100 Invested = $727

System Out Performance = 499%

 

Number

Date

Signal

Level In

Level Out

Gain %

100

1

22/03/2000

BUY

28

31

11

111

2

12/05/2003

BUY

22

53

133

267

3

16/10/2006

BUY

54

70

29%

346

4

07/09/2009

BUY

52

53

2%

353

5

04/10/2010

BUY

57

66

16%

409

6

16/01/2012

BUY

71

65

-8%

374

7

23/07/2012

BUY

68

87

27%

478

8

20/07/2016

BUY

66

67

2%

485

9

18/12/2017

BUY

69

69

0

485

10

01/02/2021

BUY

40

64

58%

727

Major Drawdowns Signalled

2000-2022

Percentage = Signal Issued to Market Low

Average Loss Avoided = 48%

Date

Signal

Percentage

25/07/2001

SELL

38%

25/08/2008

SELL

-47%

29/09/2014

SELL

-42%

22/10/2018

SELL

-66%