Posodobitev stanja!
The strategy algorithm is based on entering the market a few minutes before the release of important economic news. Entry for currency pairs that were overbought or oversold in the previous week. Entry is filtered by the market direction indicator according to the Gann Square theory for the current day using the history of the previous 500 trading sessions.
Take profit is set at up to 100 standard points for each trade. Losses are limited by stop loss of 100-140 standard points.
The strategy is multicurrency. When a total profit of 0.5-1.5% is achieved during the day for each open and closed deals, all positions in the market are closed. Or, if they have not reached the total profit, then positions are closed by take profit. To enter the market, from 0.2 lots are used for each position for every $ 10,000 of the deposit, or 0.02 lots for every $ 1,000 of the deposit. Maximum during the day, you can open up to 12 positions for all instruments. Usually every day we have a signal for 3-5 currency pairs.
Currency pairs used in trading - EURUSD, GBPUSD, USDJPY, GBPJPY, USDCAD, EURAUD, EURJPY, AUDCAD, AUDJPY, AUDUSD, CADJPY, EURCAD, EURGBP, GBPCHF, USDCHF, CHFJPY, AUDCHF.
Our account is a real standard account with a broker with a collateral 10 times less than the standard one. Keep in mind that the lot of this broker is 10 times less than the value of all other brokers. Therefore, the lot size of open positions with other brokers should be 0.1 versus the 1.0 lot we opened.
Your lot should be no more than 0.2 lot for each open position relative to $ 10,000 of your deposit.
We wish all followers of profitable trading and a transient trend!
več
- false nazaj
- 0 sledilcev je zahtevalo posodobitev statusa