Tailor-made solutions to institutional clients worldwide

Bespoke services and turn-key models tailored by asset class, depth level (from market indices to individual stocks) and strategy (long only or long/short).

Our basic S&P500 long/short model has been back-tested 1.1.2005. to 1.1.2015:

Total Return 379.07 %, CAGR 16.80 %, Max Drawdown 16.87%, Sharpe Ratio 1.06.

(Significantly outperforming the S&P500 benchmark index)

All products delivered directly or via Thomson Reuters platform.

Contact us at info@belltimetrading.com for more.

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