Stop Guessing on Exits, Start Trading the Math.
Most traders leave money on the table for one simple reason: they rely on one-size-fits-all rules to manage their trades. But a gap-up in a tech stock doesn't behave the same way as a gap-down in a utility stock—so why would you use the same exit strategy for both?
Welcome to Earnings Advantage.
We don’t rely on gut feelings or opinions. We rely on statistical certainty. Every trade we take is tracked, analyzed, and categorized into specific structural cohorts to reveal exactly where performance comes from.
We dissect the market using:
Proprietary Trend Classifications
Sector & S&P 500 Membership
Gap Direction (Up or Down)
Daily Close Dynamics (Green or Red)
But we don’t stop at tracking. We run every cohort through three distinct exit methodologies to isolate the absolute best management approach for that specific setup.
The result? A highly optimized, data-driven system that tells you exactly which exit yields the highest-probability, most profitable outcome. No emotion. No opinions. Just the math.

