Обновить статус!
1. Institutional Tracking: Leveraging years of experience and advanced analytics, I specialize in tracking institutional order flow. This allows me to identify high-probability trading opportunities that are less susceptible to market noise, thereby providing a more stable and consistent return on investment.
2. Drawdown Management: One of my core principles is rigorous risk management, which is why I maintain a drawdown below 10% for one year+. This is a calculated approach designed to preserve capital and ensure long-term growth. It's worth noting that this conservative strategy may result in periods of capital stagnation, as risk mitigation measures are activated.
3. Swing Trading Strategy: My focus is on long-term swing trading, which allows for more significant market moves to be captured. This approach is ideal for investors looking for a balanced risk-to-reward ratio and is designed to maximize long-term returns.
4. Manual Trading: Unlike automated systems, each trade in my portfolio is the result of meticulous analysis and manual execution. This ensures that all trades are in line with the overall strategy and risk parameters, providing an additional layer of quality control.
This strategy is ideal for investors who are looking for a disciplined, risk-managed approach to trading, backed by a proven track record in swing trading and institutional analysis.
больше
- false назад
- 0 Инвесторы запросили обновление статуса