Statusoppdatering!
Combination of several trading strategies. Treat this like a forex etf, where I will only combine my best strategies and continuously replace poor performing ones with better ones which I'm currently back testing on the sidelines. This combination approach ensures maximum profit with minimal drawdown as those not working well in certain conditions will always be balanced out by others that are highly profitable.
Has been back-tested for the past 5 years to maintain a low drawdown. FOR SMALL ACCOUNTS, IF YOUR CUSTOM COPY RATIO CAUSED YOU TO MISS COPYING SMALL LOT SIZES, ITS OK. It just means you missed out copying some small lot strategies, but you still copy ALL trades of other big lot strategies. Because 1 type of strategy will always use only 1 lot size type. Use a low spread, high leverage broker if possible. 1:1000 leverage is preferred
Patience is key. I have been long enough in the market to understand this. Just measure the ratio of my average monthly pip gain since Nov'23 against my max pip drawdown, and you will realise this is easily one of the best systems here.
IGNORE PERFORMANCE BEFORE NOV'23 AS THAT WAS ONE OF MY TRIAL SIGNAL.
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