Typically including floating draw downs we see 3% to 5%, in a worst case scenario, perhaps a range of 10% to 15%, in any case the reason for our varied mix of systems including a discretionary system that controls the risk of the other systems we feel like we can control risk and maintain DD below 10% and in many cases 5%. Of course past performance doesn't guarantee the future, but we love our mixture of systems and are focused on building wealth for our clients though our mix of systems. We have traded our own money for 5 years, and after 1000's of hours spent looking at the charts there is something magical that happens, the result is the Lion Share Mezcla (Spanish for Mix)
Consistent growth leads to peace of mind.