Bio
I have 8 years of Forex trading experience, and have four years of experience in quantitative trading. Small Poisitions is my trading philosophy. My trading system is based on program trading and manual trading on the combination, and have an independent third party risk control systems, using a variety of methods to control the stop-loss account risk and ensure long-term stable growth in net account. Currently my Longgrowth profitable trading system has been stable for more than 1 year, the annual earnings of more than 400%. My trading system is a trading strategy using a variety of complex trading system is based on tracking trends, the combination of momentum trading and trading range. Foreign exchange, gold, silver is my main trading varieties. My account leverage is 200:1. $ 10,000 equity, based on the position of the margin account is not more than 10% of the equity. Largest single trading positions are not more than 1.5 lots, the maximum number of positions are not more than 2.5 lots . In the stoploss, 0.01 lots stoploss is less than 500 pips, 0.1 lots stoploss no more 150 pips, 0.3 lots stopless than 100 pips, 1 lots stoploss no more than 60 pips ,and so on. My daily number of transactions does not exceed 30 times. If you want to subscribe to my trading system, follow my trading, your equity must be greater than $ 4000. According to the proportion of equity follow my trading . For example, when the $ 5000 equity following 10,000$ , followed by a ratio of 1:2. When your equity is $ 30,000, the following the transaction, followed by a ratio of 3:1. Reminder: risks and rewards are directly proportional. Account earnings higher Drawdown bigger. If the account is earning more than 400%, Drawdown is likely to be greater than 40%. If the account is less than 50% of earnings, equity drawdown will be less than 30%. With the single unmissable net growth, but also depends on the survival time of the account, the total number of transaction history. Rational investment, the data can speak.
Handel stil
General
Automatic EA/Manual Trading: Mixed
Level of Automation (Trading, Stop/loss): Artificial opening Auto stop/loss
Most Traded Pairs: 10
Region of Trading (London, New York, Tokyo): London, New York, Tokyo
Trading Style (scalping, long term,..): Mixed
Trading Approach (news, trend..): news, trend
Typical Leverage per Positions: 5:1¬¬----10:1
Max Leverage Used: 20:1
Maximum Open Positions at One Time: 5
Max Risk per Position: less than -10% of equity yerstaday
Monthly Target (%): 10-20% profit
Annual Target (%): 80%--300%
Max Drawdown (%): less than -15% daily -20% monthly -30% annual:
Automatic EA/Manual Trading: Mixed
Level of Automation (Trading, Stop/loss): Artificial opening Auto stop/loss
Most Traded Pairs: 10
Region of Trading (London, New York, Tokyo): London, New York, Tokyo
Trading Style (scalping, long term,..): Mixed
Trading Approach (news, trend..): news, trend
Typical Leverage per Positions: 5:1¬¬----10:1
Max Leverage Used: 20:1
Maximum Open Positions at One Time: 5
Max Risk per Position: less than -10% of equity yerstaday
Monthly Target (%): 10-20% profit
Annual Target (%): 80%--300%
Max Drawdown (%): less than -15% daily -20% monthly -30% annual:
Diagram
System av onecat
Senaste inlägg
20263
Aug 18, 2013 at 20:29
2328
Aug 18, 2013 at 20:29
41748
Aug 18, 2013 at 20:29
50491
Aug 18, 2013 at 20:29