Hi there,
I am trading 22 Pairs, all trades are executed by an algorithm, I do not manually change trades.
Entry and exit points are determined by HiLo and Trend patterns. A strict money management function is designed to keep risk at low levels without cutting profits. This is done by controlling positions permanently without the use of T/P or S/L levels. The algorithm only enters the market if many parameters are in line with the strategy, this means it can go without a single trade for days but when the market situation changes, trade several times per day. The average holding time is about 30 days - so medium term. I recommend to invest 5000 USD to keep risks low, less investment will result in a higher % performance but larger risks.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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-33.5 |
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-63.9 |
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-48.6 |
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-61.8 |
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-78.6 |
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