From January 15th 2009 to September 2012 there are a total of 15 sets of trades amounting to 12 wins and 3 losses. With a timeframe of trading every 5 weeks regardless of price action. As you can see the Buys are Green and the Sells are Red.
The largest of the losses was 2011 April 15 th to June 1st at 14%, this could have been mitigated by not trading due to price velocity and RSI. In 2010 January 15th to March 1st the loss was 6.5% with the next loss being as recent as April 15th to June 1st the loss was 6.3%.
So, 2 lossess during April - June , 1 loss January - March.
The total gains over the January 2009 - Sept. 2012 period is 339.6% using only the money originally invested.
The next buy date being October 15th, 2012. Recent trading for 2012 +15.1%, -6.3% and +15.1%
The trades of 2012 are correct except for the last one, it is not 15.1% it should be 12.6%.
Can you post an update chart?