I am a trader with several years of experience in the markets. I operate with a discretionary strategy and with the help of trading systems. I am very careful about money management and containing the drowdown as much as possible. Initially I am using the slightly higher leverage (always strictly controlled) to increase the capital but with the passing of the days and with the increase of capital, which as you can see grows steadily I intend to decrease the leverage gradually. The strategy basically relies on swing trading and I work with the use of hedging to mediate possible losing positions in such a way as to close the fewest losing positions and control the drowdown of the strategy. The Max DD you see in the statistics is the result of an incorrect calculation by Signal Start that counts the DD in an inappropriate way,Just look at the equity that has fallen to the maximum of 40% not 95......
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