This mid-risk portfolio uses an AI-assisted, basket trading strategy that is closely monitored for drawdown control.
The goal is long-term, steady portfolio growth.
The trading strategy is backed by 2 years of back testing.
Copying this portfolio may further be optimized with use of a "raw" trading account, ideally with 1:200 leverage (or more), with at least 3,500 USD balance.
Açık Tarih | Kapanış tarihi | Sembol | Aksiyon | Lotlar | SL | TP | Aç | Kapat | Pip'ler | Kâr | Süre | Kazanç |
---|---|---|---|---|---|---|---|---|---|---|---|---|
17.3 |
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59.0 |
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60.4 |
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-14.6 |
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-0.3 |
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21.8 |
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54.8 |
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81.5 |
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146.2 |
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99.9 |
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