순위 대기 중
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실제 거래 , USD
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EXNESS , 1:400 ,MetaTrader 5,
$40.00/Month
This strategy is designed as a medium-to-low risk diversified portfolio, combining gold trend trading and forex arbitrage systems to achieve stable and sustainable capital growth.
Based on historical backtesting, the strategy has demonstrated a maximum equity drawdown controlled within 20%, while delivering approximately 3x net asset growth over the testing period. The system operates with a hybrid approach: 90% fully automated execution (EA) complemented by 10% discretionary management, ensuring both consistency and adaptability under different market conditions.
At its core, the strategy integrates a multi-layer quantitative framework with strict risk management protocols, aiming to balance growth and capital preservation.
Strategy Core Gold trend trading using H1 + M15 multi-timeframe filters Forex semi-grid arbitrage system with balanced, low-risk entries ADX + momentum confirmation to filter high-probability setups Risk Control Maximum drawdown control maintained around ~18–20% Dynamic position sizing, reducing exposure during drawdowns Automatic pause mechanism after consecutive losses Strict total exposure limits across all positions Maximum position control to prevent over-leveraging Profit System ATR-based adaptive stop-loss for volatility-adjusted protection Break-even protection to secure capital once trades move in favor Dynamic trailing stop to maximize trend capture and lock in profits Positioning Statement
This strategy is not designed for aggressive short-term speculation, but rather for consistent, risk-controlled capital growth, making it suitable for investors seeking stable performance with controlled drawdowns over the long term.