Streamline Trading delivered a net return of +1.49% in May, bringing year-to-date performance to +9.03% net of fees. Our correlation with the SP500 remained low with just 0.12, reaffirming the uncorrelated nature of our approach. Our 30+ algorithms remained fully engaged across 20+ global futures markets. Our performance continues to provide true diversification from traditional markets.
May Highlights
📈 Monthly Performance: +1.49% net
📊 YTD: +9.03% net of fees (+42% since start strategy)
🔗 S&P 500 Correlation: 0.12
Our goal remains unchanged: to consistently deliver stable, uncorrelated returns long term. Thanks for your continued trust and support.