Always favoring safety over gains. I use a 2% risk management strategy with a maximum of 5 open trades at a time. This means that our maximum drawdown target is potentially 20%. It's usually targeted below 10%.
Trends, fibonacci retracement, mostly market structure analysis. Fundamentals are used to complement the strategy. Fully manual trading. This means you shouldn't get a nasty surprise after 2-3 months, when an EA stops working because of changing market conditions. Full manual control allows me to adapt my trading to changing market conditions.
Spread rebates/cashbacks not included in the gains here. I recommend you use one as a supplement to our profits :)
Data di apertura | Data di chiusura | Simbolo | Azione | Lotti | SL | TP | Aperto | Chiuso | Punti | Utili | Durata | Guadagno |
---|---|---|---|---|---|---|---|---|---|---|---|---|
-116.7 |
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-98.8 |
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44.5 |
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-66.0 |
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-63.7 |
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37.2 |
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4.7 |
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-159.1 |
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-4.9 |
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28.6 |
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