### IMPORTANT ###
We will close down our signalstart services by the end of the year 2017.
The portfolio is managed by three independent strategies that are
the result of several years of experience in developing quantitative strategies.
Each strategy is fully automated and monitored daily.
The 1st strategy trades a reversion to the mean.
The 2nd strategy enters trends on strong momentum.
The 3rd strategy capitalizes on breakout movements near key S/R points.
All strategies work with a predefined SL and TP that is either submitted with the order or internally managed by the algorithm.
The system is monitored by a risk management logic that limits the maximum drawdown target to 20%.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
---|---|---|---|---|---|---|---|---|---|---|---|---|
-9.0 |
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-9.0 |
|
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-23.9 |
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-15.5 |
|
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32.5 |
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27.5 |
|
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20.1 |
|
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121.0 |
|
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-0.8 |
|
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149.0 |
|