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Performance results: September 2025

CONSORT Investments recorded gross monthly returns of -0.89% across its trading strategies, with a win rate of 50%.

September 2025 reflected a challenging phase within the trading cycle, with mixed market conditions limiting directional opportunities across the strategy portfolio. Activity remained concentrated within defined trading windows, with capital deployed selectively where volatility and momentum aligned with system parameters.

The framework remains consistent across all strategies, with performance driven by controlled execution, selective participation, and strict risk management. Outcomes reflect a process designed to maintain consistency and capital preservation while adapting to changing market conditions and periods of reduced opportunity.

Overall monthly performance

Gross monthly returns: -0.89%
Overall win rate: 50%

Performance by strategy

Dow Surge
Gross monthly returns: +1.70%
Win rate: 48%

Tech Breakout
Gross monthly returns: -2.59%
Win rate: 52%

ARC
Gross monthly returns: 0.00%
Win rate: 0%

CONSORT Investments — operating with deliberate pace and disciplined intent.

Past performance is not indicative of future results. All investments carry risk, and returns may vary. Capital is at risk and outcomes cannot be guaranteed.

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