This is a more aggresive signal compared to my AU signal. Only suitable if you have the same leverage. Wouldn't recommend to follow this signal if you have less than 1:500 leverage. You can do it with leverage 1:200 but you must be watching it closely for margin requirement and be willing to top up in the event of significant drawdown
Though it's more risky than my AU signal, it's still aiming to achive balance between risk, gain and being sustainable.
Recommended starting balance is at least 20% bigger than the balance of this signal. Please note that I monitor my account closely and top up as necessary in the event of major drawdown. I would strongly recommend that you do the same.
Thank you and good luck.. ---------------------- UPDATE: ---------------------- - 18/09/2023 : Portfolio has been updated with some adjustment to the risk factor and additional safety net by taking profit earlier but smaller to reduce exposure to the market. This is a similar strategy/safety net feature as to the one used in my MT5 PPGlobal Core account.