Trades will be on majors and minors with conservative approach. Having 7+ yrs of experience in forex, I understand the importance of Money & Psychology Management so I will trade wisely. Please refer to my trade history to understand my trading style in more detail.
I am currently working on optimizing my trading strategy and trying some new techniques which resulted in an increased drawdown. SignalStart's way of drawdown calculation is very brutal and hence it is showing ~47% drawdown but reality is different.
Try following me with 1:1 (i.e. $1000 account equity)
I will open all trades with 0.10 lot (1 mini lot).
So
If you have $1000, no need to set manual lot size. All trades will be 0.10 lot in volume
If you have $500, set the lot size = 0.05 lots per trade
If you have $100, set the lot size = 0.01 lot per trade
PS: My trades are only for those people who understand what is forex and don't take it as a get-rich-quick scheme, but see it as an investment to grow money slowly & steadily. Patience is the biggest virtue in trading so no quick 5 minutes trades. You will need to wait at least couple of hours on each trade so as to gain some green bucks.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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5.4 |
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13.3 |
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21.5 |
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10.0 |
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35.5 |
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10.8 |
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30.0 |
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2.3 |
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18.4 |
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-0.1 |
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