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The strategy analysis is based on various time frames ranging from M15 to H4. Each position is split in 2 trades with identical stop loss and a different take profit level. We trade multiple Jpy, Gbp and Eur pairs for diversification purposes and select only setups with high win probability patterns (65%+).
We target anywhere from 15-200 pips per trade, depending on what pattern we are trading in that particular instance. Every single trade has a set stop loss which can only be modified to reduce the overall risk, initial stop loss is never increased. That makes the strategy very risk averse, stable and sustainable.
Current risk settings have a VaR of 12.5%.
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