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Overview of All Trading Systems

Which systems does Systems2follow offer, who trades them, and what are the historical results?

Our trading systems Systems2follow offers multiple trading systems, each with its own strategy, trader and risk profile. Below you will find a complete overview.

Overview: Systems overview

RVM Retirement (RVMR) Trader: Ruud van Megen | Type: Defensive asset management | Risk: Low

RVM Retirement is our most popular and longest-running system. Ruud van Megen uses a defensive strategy focused on stable, long-term growth. The system has a low correlation with the broader stock market, making it highly suitable for investors who prioritise stability.

RVM Strategy (RVMS) Trader: Ruud van Megen | Type: Stocks | Risk: Medium

The equity component of the RVM line. RVMS combines well with RVM Retirement for clients who want slightly higher return potential while retaining the protection offered by the RVM approach.

ES Stock Trading (ESST) Type: Long equity system | Risk: Medium-high

ESST is an active equity system that takes long positions in selected stocks. The system follows the broader stock market more closely than RVM Retirement, offering higher upside in bull markets but also greater volatility.

ES Buy & Hold (ESBH) Type: Passive buy & hold | Risk: Low-medium

ESBH follows a passive approach in which positions are held for the longer term. Suitable for investors who want minimal active involvement and believe in long-term market growth.

ES Small Caps (ESSC) Type: Small-cap stocks | Risk: High

ESSC focuses on smaller listed companies with higher growth potential. This brings more volatility, but also the chance of significant outperformance relative to the broader market.

ProfitShield Type: Capital protection | Risk: Low

ProfitShield was developed to protect capital in uncertain market conditions. Q1 2026 was stable; Q2 2025 delivered +5.62%. Quarterly reports are published on the website.

S&P500 Weekoptie Type: Weekly option premiums | Risk: Medium

This system generates weekly premium income through short options on the S&P500 index. In Q1 2026 there were no losing weeks. Stable, regular returns make this system attractive for investors who value cash flow.

Global ETF Rotation Strategy Type: ETF rotation | Risk: Medium

This system rotates monthly into the best-performing ETFs worldwide based on momentum. In April 2026 the system achieved a return of +23.33% for that month.

Exclusive Signals Stock Trading Type: Trading signals | Risk: Medium-high

An exclusive signal system with a limited number of participants. October 2025: +4.40%. Available on request.