This is a multi-strategy system.
My entries are based on trend following, breakouts, Fibonacci retracements, support/resistance, overbought/oversold areas.
For risk management, I use hedging and correlated hedging and in some cases a stop loss.
Most trades are closed intraday, but I can keep trades longer and I do scale in (grid) into positions.
I have been in the market since 2010 and saw most of the market changes.
To copy at the same risk you need 1:500 leverage and min. 1k, if you have lower leverage add more balance for example with 1:200 you need 2k and so on...
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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-20.2 |
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0.8 |
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2.8 |
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2.7 |
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0.8 |
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1.8 |
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4.9 |
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2.1 |
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0.6 |
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0.1 |
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