Outside the Box Zero Spread
Rank #251, Real, USD, HF Markets , 1:200 , MetaTrader 4 , $79/Month
Outside the Box Zero Spread
Rank #251,Real, USD,HF Markets , 1:200 ,MetaTrader 4 ,$79/Month

** Note history of drawdown, and recoveries. This system has high drawdowns. That's just how I trade.
** Make regular withdrawals from profits, and only use funds that you can lose.
------ 50% copies off master account of Fund Manager, 50% other separate manual trades on smaller timeframes
------ 20 months track record on Outside the Box Master Account
Target yield 20 to 30% per month (10 to 20 pips per trade dependent on market conditions)

Max Exposure of 7 lots per $10,000 balance.
Suggest following this high risk signal with $500 to $1000 initially AND use broker with tightest spreads (zero spread if you can find it)
Then use only profits to compound account size exponentially as we grow long term. After initial investment recuperated, keep invested for at least 6 months and withdraw profits only when absolutely necessary.

Scalping using MACD, RSI, Stochastic and Ichimoku indicators (2 for Mean Reversion and 2 for Trend Following entries/exits).
Focus on Price action studies and knowledge about market behavior of institutional order flow in each session, market maker strategies, momentum, and volume.
The aforementioned combined with basic concepts such as support, resistance, candlestick patterns, and Elliott Wave provide a basis to receive multiple confirmations regarding the timing of trades.
RISK MANAGEMENT implements a scale-in and scale-out approach, only during risk events will stop losses be utilized, setting Stop Loss to above Breakeven on a obvious winner.
**Stop Losses will be used only in High Risk Events.

Gain Chart
45 Seconds ago
Advanced Statistics
  • Balance: $4,491.7
  • Equity: (86.79%) $3,898.2
  • Floating PL: -$593.5
  • Deposits: $4,625.01
  • Withdrawals: $4,800
  • Trades: 699
  • Pips: 27,639.5
  • Won: 97%
  • Avg. Trade Time: 1d
  • Lots: 79.15
  • Profit Factor: 3.25
  • Daily: 0.73%
  • Monthly: 24.41%
  • Trades Per Month 78
  • Expectancy: 39.5 Pips / $6.68
Monthly Select a month to analyze, click and drag to zoom in
Symbols
Activity
Open Date Close date Symbol Action Lots SL TP Open Close Pips Profit Duration Gain
03.20.2019 22:50 03.21.2019 02:34 USDZARB Sell 0.02 - - 14.26304 14.21914 439.0 6.12 3h 44m +0.14%
03.20.2019 22:50 03.21.2019 02:34 USDZARB Sell 0.02 - - 14.26304 14.21678 462.6 6.46 3h 44m +0.14%
03.06.2019 09:49 03.20.2019 20:33 USDZARB Sell 0.02 - - 14.19786 14.17238 254.8 3.56 14d +0.08%
03.06.2019 11:32 03.20.2019 20:32 USDZARB Sell 0.02 - - 14.20524 14.17876 264.8 3.70 14d +0.08%
03.06.2019 13:43 03.20.2019 20:32 USDZARB Sell 0.02 - - 14.21318 14.18266 305.2 4.26 14d +0.1%
03.06.2019 18:34 03.20.2019 20:17 USDZARB Sell 0.02 - - 14.22771 14.20992 177.9 2.46 14d +0.06%
03.13.2019 21:35 03.20.2019 20:12 USDJPYB Sell 0.10 - - 111.11200 111.00300 10.9 2.76 6d +0.06%
03.14.2019 02:46 03.20.2019 20:04 USDJPYB Sell 0.12 - - 111.18900 111.04300 14.6 10.62 6d +0.24%
03.13.2019 16:47 03.20.2019 19:52 USDZARB Sell 0.02 - - 14.35702 14.33570 213.2 3.06 7d +0.07%
03.18.2019 15:18 03.20.2019 19:34 USDZARB Sell 0.02 - - 14.37809 14.36486 132.3 1.75 2d +0.04%
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No Open Orders.
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Other signals by this trader
Rank Name Gain Pips DD Trades Type Monthly Chart Price Age Added Action
175 Outside the Box AxiSelect 52.32% 26,995.6 14.3% 696 Real Loading... Loading... $79 8m 17d Oct 15, 2018
261 Outside the Box 124.54% 26,468.4 26.8% 1064 Real Loading... Loading... $79 1y 8m Dec 4, 2017
266 Outside the Box Medium Risk 254.04% 25,102.3 38.6% 1016 Real Loading... Loading... $79 1y 6m Sep 7, 2018