Recent performance has been impacted by increased geopolitical volatility, resulting in a temporary drawdown phase.
This is a normal part of the system behavior.
Historically, the strategy shows loss cycles approximately every 3–5 months, followed by strong recovery phases and significantly larger profit movements.
📈 What to expect: • Short-term drawdowns under high volatility • Recovery phases with accelerated growth • Long-term upward performance consistency
⚙️ Strategy principles remain unchanged: • Stop Loss on every trade • Risk per trade typically 1–4% • No Martingale • No Grid trading • Fully automated, rule-based execution
💡 Important: This strategy is designed for long-term performance. If you are not comfortable with temporary drawdowns, this signal may not be suitable for you.
For best results: • Let the system run without interference • Follow recommended risk settings • Avoid judging performance based on short-term results
Patience and discipline are key to achieving consistent returns.