My approach to Forex trading is based on a portfolio of multiple strategies that are carefully selected and optimized for long-term success and consistent growth. The core principle behind this system is diversification, allowing the portfolio to adapt to various market conditions while minimizing risks.
A key focus is placed on maintaining a low drawdown, ensuring capital preservation and steady account growth over time. Each strategy within the portfolio is thoroughly tested and monitored to ensure it performs reliably under real market conditions.
This multi-strategy setup allows for balanced risk management, reduces exposure to individual market anomalies, and helps to avoid over-dependence on a single method or setup.