Consistent strategy that operates on the NASDAQ Index.
It seeks to profit from consolidations and upward trends, with a conservative martingale to improve the average exit price of the operation with small gains in stronger corrections.
Used risk management of $1.000 for initial lot of 0.01.
Maximum DD reached $600.
The strategy is currently running with two EA's, so the minimum recommended value to follow the signal following correct risk management is $ 2.000.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
---|---|---|---|---|---|---|---|---|---|---|---|---|
5000.0 |
|
|||||||||||
5000.0 |
|
|||||||||||
5000.0 |
|
|||||||||||
5000.0 |
|
|||||||||||
4865.0 |
|
|||||||||||
3735.0 |
|
|||||||||||
3735.0 |
|
|||||||||||
3612.0 |
|
|||||||||||
-6817.0 |
|
|||||||||||
-6817.0 |
|