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This strategy focuses on short -medium time horizon. The trades have clear defined risk to reward ratio and there is a stop loss put in place. The algorithm might close some trades earlier in order to prevent unexpected events and to lock profits or minimise losses. The pairs that are traded are usually majors such as EURUSD, GBPUSD, USDJPY, AUDUSD and also minors such as AUDJPY, GBPJPY, EURGBP, EURAUD etc. It will scan what the markets has to offer. Our main goal is to maintain a low drawdown in the account. Our long term goal is to make consistent gains (2-5% a month) . There will be obviously months when ROI might exceed expectations or drawdown in around max 5%.
WE KINDLY ADVISE YOU TO USE THE FOLLOWING SETTINGS:
1,000$ - 2,000$ => 0.01 Lots
2,000$ - 4,000$ => 0.02 Lots
4,000$ - 6,000$ => 0.03 Lots
6,000$ - 8,000$ => 0.08 Lots
8,000$ -10,000$ => 0.09 Lots
Please remember that trading is a marathon and not a sprint! Let's make some money together!
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