Hi, thanks for your interest. My name is David Barreira, Ive been a trader for over 10 years specializing in the S&P 500. In my career I have taught online and face-to-face trading and investment courses and I work as a MAM and PAMM manager. The account through which this signal is being transmitted is personal capital and operated exclusively by me every day through Day Trade and Swing Trade modes. Only one asset (S&P 500) without the use of robots and with strict risk management. This is a strategy aimed at longevity and solid earnings on an annual average. As we are inserted in the variable income scenario, past returns do not guarantee future results, the objective is to seek 4% per month on average and there may be negative months. The minimum amount may be at USD 5k due to broker parameters, but the calculation is 1 contract for USD 10k. If your broker allows you to operate 0.1 contracts, the minimum amount becomes USD 1k, for example. When starting to copy, be sure to adjust the balance ratio according to your risk management and also to adjust the parameters not to copy existing trades on the account.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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1135.0 |
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557.0 |
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-521.9 |
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613.1 |
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-452.1 |
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202.0 |
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2768.0 |
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-8840.0 |
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-11965.0 |
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-14248.0 |
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