This is a strategy based on breakouts and chart patterns. It gives focus and importance on Risk & Money Managementhas thus, it always has a pre-defined risk/reward upon trade execution and it set at 1:1.33 per trade.
This is an automated system that does not use any risky schemes/strategies like MARTINGALE nor NO-STOP LOSS nor having a narrow Take Profits and Wide Stop Loss levels that can potentially blow an account.
The suggested minimum deposit required to trade at 1-2% risk level should be not less than $1,000.00 although an account of at least $400.00 equity can copy this strategy at a higher risk level of around 3-4% targeted per trade position.
* US Traders cannot copy this system for non-compliance to US regulations.
** Disclaimer: Previous performances, returns or equity growth does not guarantee the same future results. It only shows statistical information and probabilistic inference of the strategy's potential profits. Thus, potential subscribers are advised to assess the signal and their current situation if this strategy is a fit for their risk tolerance. Do not trade the money you can't afford to lose.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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763.1 |
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-1157.3 |
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214.1 |
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1.1 |
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53.0 |
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- |
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-37.8 |
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-22.1 |
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32.1 |
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-34.5 |
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