Strategy Overview Intraday & Swing trading on the H4 timeframe, based on price action, support/resistance, and Fibonacci confluence. Focused on high-probability setups with consistent risk control.
Risk Management Average Risk-Reward: 1:1 to 1:2 per trade. Monthly Growth Target: 1–20%. Max Drawdown: strictly controlled below 50%.
Trading Frequency 5–15 trades per month. No scalping, martingale, or grid. All trades are manually executed and managed.
About This Signal This strategy has been developed and traded consistently for over 3 years with profitable results across various market conditions. Forward-tested on a live account for months, now made available for serious investors seeking stable growth and disciplined risk management.
Important Notes Positions may be held for several days. Followers are advised to use similar lot sizing or risk-adjusted scaling for optimal results. Fully transparent, risk-conscious, and designed for long-term portfolio growth.