I am a professional French Trader Since 4 years now, I do Swing trading mainly and aim for roughly 2% per month with very low risk.
The signal on this account "FXprotrader" is my personal money that I trade with so you can be assured that I do not aim for margin called and prefer not to take any risks.
Here is the drawdown/profit strategy :
If Drawdown is below 5%, I will aim for 2% and plus monthly ROI
If Drawdown is between 5-10%, I will aim for 2%, then use the monthly additional profit to close losing trades
If Drawdown is above 10%, I will aim for 1,5% per month then use the monthly additional profit to close losing trades
I try to target to keep my free margin at 600% minimum (1:30 leverage / European standard) to prevent any big drawdown and cover the account in case of a flash crash.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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- |
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109.8 |
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164.1 |
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87.2 |
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- |
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- |
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81.3 |
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- |
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110.2 |
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92.5 |
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Rank | Name | Gain | Pips | DD | Trades | Type | Monthly | Chart | Price | Age | Added | Action |
---|---|---|---|---|---|---|---|---|---|---|---|---|
345 | 5pourcentparmois | 54.15% | 3,860.4 | 63.1% | 300 | Real | Loading... | Loading... | $30 | 1y 8m | Dec 2, 2019 |