The following charts reflect the trading results for the fiscal year starting November 2011 and ending November 31st 2012 in the emini S & P, with a simulated starting balance of $40,000. Various strategies will be employed though-out the year during which refinements are sought and comparisons drawn. This enables a month to month analysis and comparison as archived within this catalog where all individual months along with this continual version. Regarding money management protocols, 4 contracts is traded initially, but that load is increased by 1 contract for every $10,000 in gains, until the threshold of 100 lots are reached. As the year progresses, this continual version tracks the leveraged contract load based on the above mentioned money management protocol up to a maximum of 100 lots. Positions are managed based on incoming data. During this month I am placing stops based on variables based on Market Profile reference points. The money management and tax liability features are not represented visually for the purposes of this presentation.