Pair Trading stocks involves simultaneously entering LONG (i.e. BUYING) and entering SHORT (i.e. SELLING) two “paired” stocks. It has been shown to provide protection from market crashes, controlled risk, low correlation to the market averages and ability to generate significant and consistent returns. Multiple recent research studies have demonstrated returns to be in the range of 2%-4% per month*, on a 4:1 leverage basis, over more than a decade. Add in the use of Cointegrated Stock Pairs and the historical returns look even stronger**.
PairTrade Finder® PRO’s Top 30 Cointegrated Stock PairsBut we prefer to put our money where our mouth is.
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