FTS Options Income NL

Characteristics

Performance YTD Performance 3M Performance 12M Performance 24M Performance (since start)
-52.0% -54.7% -10.4% + 44.3% + 193.1%
Average Performance per year Risk Number Risk Profile Initial Capital Category
+ 11.2% 7.6 Very offensive €7,500 Options

Performance Graphs

Benchmark:

Historical return on investment (ROI), based on (hypothetical) results.

Benchmark:

Historical hypothetical return on investment (ROI) per month, based on hypothetical results.

Benchmark:

Historical return on investment (ROI), based on (hypothetical) results.

Historical hypothetical results (PL) per year, based on hypothetical results.

Realized PL per day

Realized PL per trade

Performance Tables

Hypothetical return on investment per month. Result as percentage of the initial capital, based on hypothetical results.

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec ROI-Yr CumROI ROI/Yr
20072.7%-1.9%3.2%5.3%4.1%5.5%-2.7%-7.8%8.9%4.2%-0.6%6.7%27.5%27.5%27.5%
2008-2.2%11.1%3.3%2.7%3.3%-8.7%-1.1%4.9%-20.1%-14.4%10.9%8.8%-1.4%26.1%13.1%
20092.1%4.3%6.1%3.9%3.3%8.1%-1.6%1.1%2.1%-0.4%2.6%11.5%43.1%69.2%23.1%
20102.7%4.4%4.3%-0.3%-8.9%3.7%7.3%3.1%6.9%5.2%-0.7%1.6%29.3%98.5%24.6%
20114.9%1.5%-6.5%5.7%2.7%1.2%-2.5%0.5%3.4%4.9%7.0%5.0%27.9%126.4%25.3%
20125.1%4.5%2.0%0.6%1.4%4.7%-2.0%3.6%0.3%5.4%2.5%-0.4%27.7%154.1%25.7%
20133.7%1.4%1.7%2.1%-2.0%-4.3%-3.6%1.2%5.6%2.9%3.1%0.7%12.5%166.6%23.8%
2014-2.5%5.1%1.1%2.7%2.3%1.4%-2.4%-4.1%1.2%-16.9%4.9%-0.9%-8.1%158.5%19.8%
2015-4.7%4.4%0.5%1.7%7.5%4.4%7.5%-28.2%0.3%2.8%1.5%0.5%-1.8%156.7%17.4%
2016-3.1%-10.8%8.1%-0.5%2.6%-4.2%-2.5%4.0%4.4%6.6%3.6%5.4%13.7%170.4%17.0%
20173.4%2.8%3.5%-1.2%4.9%-7.5%7.0%2.6%2.3%-3.6%1.9%1.4%17.5%187.9%17.1%
20181.1%-10.6%-0.7%12.1%0.4%-1.0%5.2%4.7%1.7%-2.6%7.1%-16.4%0.9%188.8%15.7%
201910.5%-10.5%-4.8%-26.2%14.4%-6.1%-14.5%11.1%-5.0%-5.7%-9.4%-4.3%-50.5%138.3%10.6%
2020-14.0%22.6%0.0%-20.3%0.0%0.0%0.0%0.0%6.7%-3.6%9.4%-3.0%-2.3%136.1%9.7%
2021-5.6%2.5%18.4%4.3%3.5%7.5%5.7%6.0%-1.2%9.3%-12.4%12.5%50.3%186.4%12.4%
2022-22.4%0.7%14.6%9.8%6.4%6.2%4.1%-6.4%-18.7%27.7%4.3%-1.7%24.7%211.1%13.2%
20238.6%-0.3%3.9%6.8%1.3%10.1%-1.4%9.0%4.9%8.7%1.0%-18.8%33.9%244.9%14.4%
2024-14.4%-21.5%-16.1%-52.0%192.9%11.2%
  results from backtest
  results from live-trading

Hypothetical results on monthly basis, based on hypothetical results.

Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec PL-Yr CumPL PL/Yr
2007205-145240395310410-205-585665315-455052,0652,0652,065
2008-165830250200250-650-80370-1,510-1,080820660-1051,960981
2009160320455295245610-12085155-301958603,2305,1901,732
2010200330320-25-665280550235515390-551202,1957,3851,848
2011370115-49043020590-185402553655253752,0959,4801,897
201238533515045105350-15027025405190-302,08011,5601,927
2013275105130160-150-325-270904202192335093712,4971,785
2014-18838384201169104-178-30791-1,270371-66-60611,8911,486
2015-35233240126562331563-2,1132320710934-13811,7531,306
2016-234-807607-38193-313-1862993324982714031,02512,7781,277
2017255212263-88364-566527197175-2731441051,31514,0931,281
201879-798-5691029-72389353129-196530-1,2296814,1611,180
2019791-786-358-1,9661,078-460-1,088835-375-426-705-326-3,78610,375798
2020-1,0491,6950-1,5220000502-273702-226-17010,205729
2021-4221881,377325262560429448-92701-9339343,77613,981932
2022-1,681511,096738478465309-479-1,4012,081320-1281,84915,830989
2023642-1929151397760-10667736965073-1,4072,54018,3701,080
2024-1,081-1,613-1,207-3,90114,469839
  results from backtest
  results from live-trading

Hypothetical results (PL) and hypothetical return on investment (ROI) per year. Hypothetical cumulative results (Cum PL) and hypothetical cumulative return on investment (Cum ROI).

Year PL ROI Cum PL Cum ROI ROI/Yr
20072,06527.5%2,06527.5%27.5%
2008-105-1.4%1,96026.1%13.1%
20093,23043.1%5,19069.2%23.1%
20102,19529.3%7,38598.5%24.6%
20112,09527.9%9,480126.4%25.3%
20122,08027.7%11,560154.1%25.7%
201393712.5%12,497166.6%23.8%
2014-606-8.1%11,891158.5%19.8%
2015-138-1.8%11,753156.7%17.4%
20161,02513.7%12,778170.4%17.0%
20171,31517.5%14,093187.9%17.1%
2018680.9%14,161188.8%15.7%
2019-3,786-50.5%10,375138.3%10.6%
2020-170-2.3%10,205136.1%9.7%
20213,77650.3%13,981186.4%12.4%
20221,84924.7%15,830211.1%13.2%
20232,54033.9%18,370244.9%14.4%
2024-3,901-52.0%14,469192.9%11.2%
  results from backtest
  results from live-trading

FTS Options Income NL

Description

The FTS Options Income NL trading systems is based on the short strangle options strategy, opening new positions every month. To realise profit and loss, the system uses dynamic profit taking and stop loss. The short strangle options strategy is designed to make profits in neutral markets. Hedge Depending on the market circumstance, the system may hedge positions. Roll The system can roll positions, if possible with a credit. Hypothetical return on investment and risk The percentage of profitable trades is statistically high (around 70%), where the average profit itself is lower than the average loss. However, because the percentage of profitable trades is high, the total results are profitable, despite losses per trade being larger than profits per trade. This system is interesting for investors who want to benefit from the high hypothetical return on investment of the short strangle options strategy, while accepting its high risks and at the same time being willing to roll positions with a credit.

Performance Statistics

192.9% (11.2% per year)
-
1.17
14,469
101,710
-87,242
21,969
0
7,500
-
% -
-
-
7.6
790
577 (73%)
213 (27%)
2,635
-3,585
18
176
-410
6,296 (100%)
6,296
19-May-17
29-Mar-24
FTS Options Income NL

Currency

  • EUR

Trading frequency

  • Weekly

Performance

per
Period ROI (%)
Avg/year +11.2%
24M +44.3%
12M -10.4%
3M -54.7%
YTD -52.0%
Since Start +193.1%

Signal Provider: Finodex

Finodex is a software company, founded in 2009, specialised in developing user-friendly solutions for retail investors. Our services consist of:

1. The Finodex platform for signal trading, connecting retail investors (via the platform) with signal providers and brokers.

2. Trading Systems and Model Portfolio's
A great range of mechanical trading systems and model portfolio’s, trading in equities, options, turbo’s and/or futures. We specialise in options and options strategies and we have become well-known for our thorough and lengthy back-testing periods.
Take your time to scroll through the systems and portfolio’s, to sort by return on investment, risk or instrument and to select the ones that best match your preferences. Get full insight with beautiful performance charts and graphs as well as statistics, by clicking on the name of a system of portfolio.

3. Finodex mobile Copy Trade app
A unique mobile Copy Trade app, enabling retail investors to copy & trade any of our ready to follow trading systems and model portfolio’s. In short: copy the performance of your favourite investment strategy. No need to keep a watch at the market, no stress, no hassle.

The trading systems and model portfolio’s will do the work for you, while you receive trading signals the minute they are generated. It only takes 1 click to convert any trading signal, also of multi-legged strategy positions, into an order for the broker. Save time, avoid mistakes and start investing the easy way.

FTS Options Income NL