High Risk High Returns 신호

순위 대기 중 , 데모 거래 , AUD , GO Markets , 1:300 ,MetaTrader 4, $30.00/Month

High Risk High Returns 신호

순위 대기 중 , 데모 거래 , AUD , GO Markets , 1:300 ,MetaTrader 4, $30.00/Month

This is a fully automated BOT driven system that uses Martingale, trailing stop loss across all charts and trailing take profit.
It will thus close out some or all trades when the TP is hit even if several trades are at a loss which ensures that the account continues to perform without waiting for trades in DD to come back into profit.

The September month blew up as I was first tweaking the system and had some highly volatile GBP pairs which did not work out well.
Since Sept I have removed the bad GBP pairs and I reduced risk across all pairs especially GBP and CAD pairs which has led to outstanding performance since then.

Massive GU 1000 pip move took out May. Reduced risk on GBP and reduced max trades per chart for GU from 6 to 5.

This is a commission based demo account to match my new pro commission based live account to which I use this listing to copy trades as I found that the trades placed on the demo account do not suffer from re-quotes or slippage.

So far the account is on target for 5 successive months of 40% average net profit with no long term open trades outstanding unlike other signals I see which maintain a low loss rate because they never close losing trades. The best approach is risk management, taking profits and cutting losses however even though this can translate into high profits it will also reflect in a high DD - Draw down showing on the account. It is just not possible to have high growth with low DD.

If you wish to match this acc more closely, open a Go+ commission based account at gomarkets.com.au or gomarkets.com
Leverage is 1:300 on this account and the balance is in excess of $20k so ensure you copy using a ratio to meet your account otherwise your account will blow up.

The bot trade size is automatically calculated against account balance x leverage and the trade sizes increase as the balance increases plus the bot will open up to 5 trades per trading pair when a trade is active depending both on whether the trade is current in DD or loading up on the trade when moving in profit as it is a hybrid martingale system. Total SL across all charts is 90% of the account so be careful and manage your risk according. I have recently seen massive moves causing open trade DD which then all translated into massive profits. You need to have enough balance and risk/trade ratio setting to allow your account space to move.

Since this account is now in excess of $25k, you need to set your multiplier accordingly, thus if you have a $6k acc your multiplier will be 0.25
Do not use a higher multiplier relative to your acc as with the high DD this account uses to achieve consistent profits, if you acc, leverage and multiplier are not correct then your account may be stopped out while this account returns and closes in profit.

More information on the bot:
I have several charts open across two progressive strategies and each run on their own magic number.
MAX ADR is set to 150
Virtual trades set to 10, meaning the system places virtual trades and only when all indicative trades hit 100% and all indicator criteria meet then a live trade is opened
WaitForNextCandle is turned on which protect the system against big sudden spikes
A News Filter is in place and the system will not trade 2 hours before Major News and 2 hours after Major News
Any trades already open during News will be managed and new positions will open depending on the movement on the pair traded
The system trades Monday to Friday 24/5, basically during all open trading times

As always, use at your own risk and ensure proper money and risk management.
There are no get rich quick schemes however this one has a good MRR potential.
Be wary of low volume periods between 23rd Dec and 7 Jan as these periods can see large spikes as a few small whales can manipulate some charts especially EUR and GBP pairs. If you ensure your account has enough space to move then all major movements whether bullish or bearish do return back, I have seen it many times.

이익 차트

14 시간 전
고급 통계
  • 잔고: A$1.55
  • 순자산: (100.00%) A$1.55
  • 유동 손익(PL): A$0.00
  • 예치금: A$29330.00
  • 인출금: A$10,000
  • 거래 횟수: 1,927
  • 핍수: 51.2
  • 승률: 62%
  • 평균 거래 시간: 1d
  • 랏수 : 1,167.98
  • 이익 계수: 0.93
  • 일간: -0.24%
  • 월간: -7.05%
  • 월 거래횟수 21
  • 기대수익률: 0 핍수 / -A$10.03
월간 Select a month to analyze, click and drag to zoom in
심벌
활동 Timezone: GMT +2
개시 날짜 종료 날짜 심벌 투자행동 랏수 손절(SL) 익절(TP) 시가 종료 핍수 이익 보유 기간 이익
18.03.2020 19:59:58 19.03.2020 04:58:38 NZDUSD 매수 0.01 - - 0.57511 0.54960 -255.1 -46.20 8h 58m -96.75%
18.03.2020 20:06:20 19.03.2020 04:58:16 NZDUSD 매수 0.02 - - 0.57269 0.55084 -218.5 -78.88 8h 51m -62.29%
19.03.2020 03:36:27 19.03.2020 04:57:45 NZDUSD 매수 0.04 - - 0.56786 0.55214 -157.2 -113.01 1h 21m -47.16%
19.03.2020 04:12:20 19.03.2020 04:57:30 NZDUSD 매수 0.08 - - 0.56072 0.55315 -75.7 -108.83 45m -31.23%
19.03.2020 04:14:00 19.03.2020 04:57:17 NZDUSD 매수 0.16 - - 0.56287 0.55393 -89.4 -256.73 43m -42.42%
18.03.2020 20:15:03 18.03.2020 20:45:50 EURGBP 매도 0.04 - - 0.93887 0.93473 41.4 33.04 30m +5.77%
18.03.2020 20:01:47 18.03.2020 20:45:49 EURGBP 매도 0.02 - - 0.93402 0.93473 -7.1 -2.97 44m -0.52%
18.03.2020 19:59:57 18.03.2020 20:45:48 EURGBP 매도 0.01 - - 0.93602 0.93473 12.9 2.53 45m +0.44%
18.03.2020 08:41:27 18.03.2020 08:43:36 USDCHF 매도 0.04 - - 0.95713 0.95696 1.7 0.94 2m +0.16%
18.03.2020 05:29:22 18.03.2020 08:43:35 USDCHF 매도 0.02 - - 0.95924 0.95696 22.8 7.79 3h 14m +1.38%
페이지 194
미체결 주문이 없음.
미결제 거래 없음.