EasyStockDater · Institutional

The Strategy Lab.
24 years of record.

A full trading engine on the S&P 500, traded through SPY — long and short.

+1080%
Total return
+11%
CAGR
−24%
Max drawdown
0.8
Sharpe
735
Trades
66%
Win rate
_
Bar-based
SIGNAL OPEN ENTRY
A signal is generated on the closed bar and the position opens at the next bar’s open. Never inside the bar, never on the same bar.
Signals and execution
Not a signal list. The engine issues the signal and executes it, long and short.
Real-world results
Results reflect conditions as they actually occurred, not an idealised fill.
Executable only
We trade a small set of qualifying ETFs. Liquidity and tradability rule most instruments out — deliberately.

Two institutional products, one engine

A desk wants the calls. A fund wants the machine. Same engine, two ways to license it.

10seats
total

Sold to ten firms worldwide — then closed.

There is no eleventh licence. A single firm may take more than one seat, up to and including every seat remaining, closing the feed to everyone else.

Tier 1 · Professional

Professional Signal Feed

$50,000 / year
  • Long, short and flat — entry and exit signals as they trigger
  • Current market-state readings
  • Limited to 10 firms worldwide — buy one seat, or take every seat left
  • On-site visit by an ESD representative on request
  • Output only — the engine stays closed

Interested? Contact us.

Email about the Signal Feed

or write to EasyStockDater@gmail.com

Tier 2 · Institutional

Full Lab Licence

On request
  • Full access to all settings
  • Load and run your own systems
  • Complete tearsheet on every run
  • Long and short books reported separately
  • Support throughout the licence period

Interested? Contact us.

Email about the Lab Licence

or write to EasyStockDater@gmail.com

The monthly record

A window into the track record — every month, warts included. The full 24‑year table ships with the tearsheet.

YrJFMAMJJASONDYear
Excerpt — full history on request Cumulative since 2000: +1080%

Against buy & hold, same window

Same start date, same capital, same instrument. The case is risk-adjusted, not just headline return.

MeasureStrategyBuy & hold
Total return+1080%+472%
Final value on $1,000$11,800$5,724
CAGR+11%+7%
Max drawdown−24%−50%
Volatility (ann.)14%17%
Sharpe0.80.5
Calmar0.40.2
Time in market56%100%

Inside the Lab

A glimpse of the reporting. We walk you through the live thing on a call — there is more here than a page can show.

Equity curve, strategy versus buy and hold
Equity curve vs buy & hold
Return and risk tearsheet
Return & risk tearsheet
Trade statistics broken down by direction
Trade stats by direction

Let’s talk

A system like this is not bought from a web page. Get in touch and we will show you what it does and answer whatever you need to know.

Contact for more

or write to EasyStockDater@gmail.com