This strategy is a combination of both technical and fundamental analysis, allowing for the adaptation to all market conditions. It exploits volatility on market openings on Indices and FX markets with great risk/reward.
Maximum risk of 2% per trade and the aim is to achieve at least 2-10% depending on volatility and market conditions. The strategy is able to run longer positions in more volatile markets creating a risk free trade once the market has moved in favour putting stops to break even. If volatility is lower it aims to adapt and tighten up ranges.
The development of the strategy is based around the utilisation of previous historical patterns, and has been back tested using the same data.