I have been a full time trader for more than 10 years and over the last couple of years developed my own strategies and automated trading systems.
As traders, we are risk managers first and foremost. No dangerous strategies such as martingale, grid or dollar cost averaging are used. All strategies traded are pure price action based, with a fixed stop-loss and profit-target when a trade is triggered. Once it moves in our favor, the risk is reduced as soon a possible, enabling a very small drawdown to the account.
The portfolio is comprised out of 5 in house developed automated trading systems (algorithms), as well as 4 manually traded strategies which are all feeding the master portfolio. This master portfolio is relatively new but the underlaying strategies have traded with double/triple digit returns for years. The portfolio is aimed at diversifying risk as much as possible in terms of assets that are traded, time and market cycles. All 28 major and minor forex pairs, CFD’s, as well as metals and indices are traded.
Trades are taken from the 15 minute, up to the weekly and monthly time frames, where some systems are built to perform well in consolidating or ranging markets, while others shine during trending conditions. All of this to make sure no strategies overlap and we double down on risk, which is capped target at max 1% of the account balance per single trade.
** USE IC MARKETS RAW-SPREAD 1:500 TRADING ACCOUNT FOR IDENTICAL RESULTS **
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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3.5 |
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11.0 |
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-5.7 |
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1.0 |
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0.1 |
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6.9 |
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-6.9 |
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9.2 |
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-3.3 |
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15.9 |
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