Gain A Proven Professional Trading Edge

HOW TO ACHIEVE TRUE CONSISTENCY FROM A MULTI-FACTOR

DIRECTIONAL & CYCLICAL INVESTING PROCESS

Cyclical Analysis

We have a proven directional model based on a multi-duration, multi-fractal technical and cyclical process. We are unique in the industry because we do what very few analysts/traders do, and that is CYCLICAL analysis. We pride ourselves on having an understanding of time and cycles - TIME matters more then price.

Execution

Our model uses both Technical and Cyclical Analysis for any market that seeks and defines repeatable edges as it pertains to price with a risk management process that covers multiple time horizons. The model is fractal in nature, meaning it covers any time-frame with the smaller micro trends building into the larger longer-term macro trends.

Risk

Proper risk management is the most important component of any trading plan and process. We utilize our "ADD and REDUCE" trading style as it applies to position sizing. How and when to add is key just as much as when to cut risk. This along with strict trade management rules and a systematic profit/loss mechanism, we have found a risk management process that allows for outside returns and exceptional risk/reward metrics.

Cyclical Analysis

We have a very good directional model based on a multi-duration, multi-fractal technical process. We are unique in the industry because we do what very few analysts/traders do, and that is CYCLICAL analysis! We pride ourselves on having an understanding of time and a cyclical process. TIME matters more then price.

Execution

Our model uses both Technical and Cyclical Analysis for any market that seeks and defines repeatable edges as it pertains to price with a risk management process that covers multiple time horizons. The model is fractal in nature, meaning it covers any time-frame with the smaller micro trends building into the larger longer-term macro trends.

Risk

Proper risk management is the most important component of any trading plan and process. We utilize our "ADD and REDUCE" trading style as it applies to position sizing. How and when to add is key just as much as when to cut risk. This along with strict trade management rules and a systematic profit/loss mechanism, we have found a risk management process that allows for outside returns and exceptional risk/reward metrics.

WHAT WE DO

We Help Traders And Investors Gain An Additional Trading Edge...

One That Is Derived From An Understanding Of TIME & CYCLES...

Allowing For Sustainable And Significant Improvements In Consistency.

CycleEdge

Letter

Gain a real professional edge in the major global macro markets, as well as in the crypto digital asset space.

CycleEdge Pro & Institutional

Our institutional coverage gives professionals access to our top down fractal directional and cyclical models with timing alerts, trade ideas, positioning, and risk management strategies across asset classes.

Prop Trading & Coaching Consulting

Trade with an elite group of independent traders globally. Learn and profit from our proprietary models and leverage our institutional experience. Earn funding for your futures or forex trading strategies.

DeFi, Crypto, &

Digital Assets

Blockchain and digital assets clearly are the future of finance. This service takes advantage of the new emerging opportunities in the rapidly evolving crypto space while also providing hedging and preservation of capital strategies.

WHY US

We Produce Results & Outcomes You Want.

Our Vision


With almost two decades of professional trading experience, we developed our own proprietary directional trading model and process. We are now bringing this model to independent traders and working with a select group of institutional investors to help specifically with market TIMING and Risk Management strategies . Its our goal to augment your process and give you a true directional edge in your trading and investing.


About Jason Jenkins


Jason was Head of Rates Trading at CG Capital, before joining CG he spent over 10 years trading US Treasuries and building out a successful institutional analysis and fixed income desk both at JVB Financial and Sterling Capital. Jason has covered all the primary dealers, large buy-side money managers, and hedge funds. His financial career began at Charles Schwab as a trader in the equity and options markets before moving to the sell-side to trade rates.


"Timing and an understanding of cycles...

is far more important than fundamentals or valuation"

-Jason Jenkins CEO/Founder JRM

© Jenkins Risk Management LLC