Imagine a world where intelligent computer is able to learn all the financial information from every corner of the global markets, imagine a world where intelligent computer is able to evolve and adapt to the complex global financial markets, imagine a world where intelligent computer is able to make all the global investment decisions. Yes, It was only a dream. But what if it came true? Here at StockDimension, we made this dream come true.
In StockDimension, we believe that the financial market is complex adaptive dynamical system, and it always migrates between the efficient and the non-efficient state. The market is always trying to find its efficient state. We believe the idea that there must be mathematical law governing the financial market motion just the same way as Newton's law governs the motion of the heavens.
In StockDimension, we use deductive methodology for discovering the law of “market motion” and developing our trading strategy. It is different from most financial trading system which follows an inductive method, i.e., inducting “trading rules” and “price pattern” using past stock price data.
In StockDimension, we have developed a momentum coherent theory of stock market. The practical application of momentum coherent theory focuses on developing trading strategy: detect early market up-trend or down-trend. We discovered two universal indicators (Multi-timescale-momentum, Degree of momentum coherence). The multi-timescale momentum gauges the strength (amplitude) of the trend wave, and degree of momentum coherence gauges the collective correlation within the multi-timescale trend waves. These two indicators are mathematical objective, and are able to characterize dynamics of market trend wave. By using these two universal indicators, we are able to identify signs of an emerging coherent momentum state (i.e. emerge of a trend, up or down), and identify signs of an ending coherent momentum state.
StockDimension covers all the major stock markets in the world and creates daily automatic intelligent investment decisions in an easy-to-use format through Web. We use hundred percent intelligent quantitative approaches. There will be no analyst reviews, no earning reports. Our goal is to provide global investors the best possible stocks, and to increase investment performance. StockDimension is aiming to short- and mid- term investors with investment time span of one to three months.
How our System Works:
1) At the end of each trading day our system automatically collects market data for a intelligent analysis.
2) After analysis we generate a buy/sell signal. Our signals are published by 8:30 PM local time for each market the night before next trade.
3) All you need to do is to log onto our site once a day to see our updated signals.
Stock Dimension Trading System covers every major aspect of trading, and left virtually no decision to the subjective judgment of human trader:
Markets: U.S. exchanges and exchanges around global equity markets.
Entries: Enters a position when SD system generates entry signal.
Exits: We exit all positions at the end of holding periods (30 trading days), every time.
Stops: Close ALL positions before the holding period if the portfolio losing by 15%.
Position Sizing: We use the simplest equal weight algorithm. Suppose we have 25 entry signals, and have $1,000,000 capital. We divide the capital equally, and take position $40,000 for each stock.
For more details or strategies, please contact StockDimension. Email: marketing@stockdimension.com
StockDimension LLC
Address of its registered office in the State of Delaware:
113 Barksdale Professional Center,
City of Newark,
County of New Castle.
Zip code, 19711