Outside the Box HK
Rank #48, Real, NZD, Halifax Investment Services , 1:400 , MetaTrader 4 , $69/Month
Outside the Box HK
Rank #48,Real, NZD,Halifax Investment Services , 1:400 ,MetaTrader 4 ,$69/Month

MYFXBOOK: https://www.myfxbook.com/members/OutsideTheBoxHK/outside-box-master-account/2087437

-- Target yield 5 to 10% per month (risk management practices followed strictly)
-- Target Maximum drawdown of 25% from High Water Mark (was 44% on one occasion early in my account's history when I had no investors)
-- Max Exposure of 1 lot per $10,000 balance.
-- Scale in and Scale out of positions with a basket of trades when the setup is favorable.
-- Mental stop loss will be activated after 100 to 120 pips approximately as this is where my Maximum Adverse Excursion/Maximum Favorable Excursion indicate my
losers have a low probability of recovering to profit (see explanation below)
-- Profit target is usually 0.3% to 0.5% (or 10-15 pips), but I reserve judgment on this in the moment, again, as it will depend on the price action and sentiment at the
time.
-- Focus on price action (velocity of change and shape) with five main currency pairs: AUDUSD, NZDUSD, GBPUSD, GBPAUD, USDJPY
Follow my trade system with at least $1500
-- If you are a US resident, TradersWay and LMFX have proven most accurate. Globally, ICMarkets and Pepperstone are best at trade execution.

This system will be listed with SimpleTrader, FXStat, SignalStart, FXBlue, and Mt Cook PAMM Fund.
The real profit is when you withdraw your money from the account. Take profits regularly

Entries are determined by...
High probability TimeFrame Synching using MACD, Stochastic, RSI, and most importantly the Ichimoku Cloud indicator as well as knowledge about market behavior in each session, market makers strategies, and momentum/flow. I also use high probability Candlestick Patterns for double or triple confirmation for entries and exits.

Stop losses only used during risk events and times of uncertainty. This protects our strategy from being nullified by Market Makers or less rigid areas of support / resistance. It has been more important for me to manually assess whether to cut a position at the time it occurs with a "mental" stop loss. I use discernment acquired over 14 years of experience, and I base the decision on market conditions. (The outlier loss in Sept 2017 was the one occasion when I tested this rule, and I was able to verify that this MFE/MAE maxim does hold true). Only on small positions will I allow a loss to continue over 125 pips. Never to exceed 8% loss on any single trade.
Once running drawdown from All time equity high reaches over 10% or one individual trades reaches a 5% to 7% loss I will consider hedging or scaling out. If Overall drawdown from equity high surpasses 20%, position sizing will decrease until a recovery is launched well. This target drawdown may seem high, but this allows my volume/position sizing to be greater within boundaries determined by my hit rate, average win, average loss, and what profit this strategy has generated over the 17 months since inception.

Trade Copying provider
Private PAMM fund manager
FX Trading Coach.

I am also a trained Maths and Computer Design teacher, personal trainer, and holistic life coach. I have traded forex for 11 years part time and for 3 years full time. I have four kids, and 100% of my monthly income comes from my trading, so believe me I take it very seriously. Having done extensive training in quantitative modeling and predictive statistics, I have an eye for accuracy and precision. I have studied and taught high levels of Mathematics in my journey of honing my trading edge.

Gain Chart
58 Seconds ago
Advanced Statistics
  • Balance: NZ$6,009.45
  • Equity: (99.21%) NZ$5,961.72
  • Floating PL: -NZ$47.73
  • Deposits: NZ$23,588.62
  • Withdrawals: NZ$73,240
  • Trades: 942
  • Pips: 5,624.3
  • Won: 95%
  • Avg. Trade Time: 19h 11m
  • Lots: 598.62
  • Profit Factor: 5.26
  • Daily: 0.51%
  • Monthly: 16.45%
  • Trades Per Month 47
  • Expectancy: 6 Pips / NZ$59.09
Monthly Select a month to analyze
Symbols
Activity
Open Date Close date Symbol Action Lots SL TP Open Close Pips Profit Duration Gain
10.12.2018 17:19 10.15.2018 11:40 AUDUSDECN Buy 0.07 - - 0.71248 0.71327 7.9 7.89 2d +0.13%
10.12.2018 17:58 10.15.2018 10:11 AUDUSDECN Buy 0.07 - - 0.71165 0.71241 7.6 7.58 2d +0.13%
10.15.2018 09:29 10.15.2018 09:58 AUDUSDECN Buy 0.05 - - 0.71099 0.71181 8.2 5.95 29m +0.1%
10.15.2018 06:41 10.15.2018 09:02 AUDUSDECN Buy 0.05 - - 0.71019 0.71109 9.0 6.56 2h 20m +0.11%
10.15.2018 04:11 10.15.2018 05:06 AUDUSDECN Buy 0.05 - - 0.71022 0.71092 7.0 5.03 54m +0.08%
10.12.2018 08:38 10.12.2018 17:01 AUDUSDECN Buy 0.07 - - 0.71222 0.71321 9.9 10.15 8h 22m +0.17%
10.12.2018 07:26 10.12.2018 14:25 AUDUSDECN Buy 0.07 - - 0.71222 0.71316 9.4 9.61 6h 59m +0.16%
10.12.2018 06:26 10.12.2018 06:48 AUDUSDECN Buy 0.05 - - 0.71205 0.71283 7.8 5.63 21m +0.09%
10.10.2018 09:41 10.11.2018 15:34 AUDUSDECN Buy 0.05 - - 0.71186 0.71290 10.4 7.42 1d +0.12%
10.10.2018 10:31 10.11.2018 15:31 AUDUSDECN Buy 0.05 - - 0.71087 0.71191 10.4 7.43 1d +0.13%
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Other signals by this trader
Rank Name Gain Pips DD Trades Type Monthly Chart Price Age Added Action
10 Outside the Box High Return 826.89% 2,987.1 74.5% 508 Real Loading... Loading... $49 7m 11d Jun 11, 2018
29 Outside the Box Medium Risk 134.66% 2,351.7 38.2% 569 Real Loading... Loading... $49 1y 1m Sep 7, 2018
44 Outside the Box 77.52% 2,838.7 26.8% 584 Real Loading... Loading... $79 1y 2m Dec 4, 2017
59 Outside the Box AxiSelect 26.46% 2,028.7 5.8% 183 Real Loading... Loading... $99 3m 11d Oct 15, 2018