Our Equity Trading Strategy is a Proven Gray-Box Algorithmic Technology with emphasis on Dow 30, S&P 100 and Nasdaq 100. Our trading strategy includes both long and short positions selected by a rule-based, artificially intelligent, quantitative system, analyzing more than 500 technical and fundamental indicators every second of every trading day. Trades are executed based on a blend of hard and soft rules implemented by our management team and targets ~70% net market exposure with no leverage. Strong reserves allow rapid mobility in and out of the market while maintaining high liquidity. Risk and volatility are mitigated by risk metrics such as buying power, order and position size, profit and loss thresholds and other parameters. David became involved in equity markets and developed systems that move away from market volatility and toward the analytical advantage of algorithmic trading, successfully capitalizing on today's market trends with a proprietary trading system.