עדכון סטטוס!
I am a systematic trader using a disciplined multi-strategy approach
for consistent long-term profitability.
I avoid high-risk tactics like
Grid, Martingale, or doubling lot sizes,
focusing on sustainable trading across short to mid-term timeframes.
I manually trade 2-3 times daily, averaging over 100 orders monthly,
and diversify across 28 currency pairs,
including USD, CAD, EUR, GBP, CHF, JPY, AUD, and NZD.
This broad coverage minimizes reliance on any single market
and maximizes opportunities.
With a controlled risk of 2-4% per trade,
my money management strategy scales exposure based on account size:
$500–$1,000: Risk x1
$1,000–$2,000: Risk x2
$5,000–$10,000: Risk x5
$10,000+: Risk x6+
This structured approach safeguards capital while fostering consistent growth.
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