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CFD Signal | 3+ Years Live | Low DD | $2,000 Min
A multi-currency CFD strategy with 3+ years of consistent live performance and low drawdown. Built on a proprietary 3-layer hedging framework—correlation, volatility, and intra-pair—designed for capital preservation and market neutrality.
No martingale. No overfitting. Just disciplined, adaptive execution across 8–11 FX pairs selected by volatility and macro context.
Features:
Low floating loss by design
Real-time risk control & crisis-tested SL logic
Capital Efficiency Ratio (CER) for smarter risk-return
Survived COVID, Brexit, Ukraine War, JPY crash
Min capital: $2,000
Focused on long-term sustainability, not short-term hype.
詳細
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