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Platform: | MT4 Exchange |
Broker: | FBS Inc |
Type: | Live |
Updated: | 8 months ago |
Autocopy State: | AutoCopy restricted - User not a validated Signal Provider |
Account Strategy Description |
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EA Parameters The EA is defined by the following parameters or attributes. Equity : $2000 Timeframe : H1 Lot Mode : Increase by Equity Risk : 5% Logic Trading : Open position by Fibonacci H1 and combine with moving average with confirmation from oscilator. For risk management I apply averaging or martingale with lot multiplier 1.1. I prefer averaging my position because we know price doesn't always move up or down so when we add new position it have higher probability to retrace to resistance or pullback to support. Example : average price retrace to resistance or pullback to support 5000 pips/trend. every 1000 pips we add new position. 1st position always have probability 50:50. 2nd position we have 70:30. 3rd position 80:20. 4th position 90:10. 5th position +/-100% price maybe retrace to resistance. We just need 15-20% movement to BEP our portfolio. That's why my winning rate 80%. I hope you can consider my signal to follow because this strategy proven almost 8 years unt. |
AutoCopyFee Model(s) | AutoCopying this account is not permitted |
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Gender | Male |
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Age | 35 Years |
Overall Strategy | |
Trading Type | Mixed |
Trading Style | Technical |
Trading Strategy | EA Parameters The EA is defined by the following parameters or attributes. Equity : $2000 Timeframe : H1 Lot Mode : Increase by Equity Risk : 5% Logic Trading : Open position by Fibonacci H1 and combine with moving average with confirmation from oscilator. For risk management I apply averaging or martingale with lot multiplier 1.1. I prefer averaging my position because we know price doesn't always move up or down so when we add new position it have higher probability to retrace to resistance or pullback to support. Example : average price retrace to resistance or pullback to support 5000 pips/trend. every 1000 pips we add new position. 1st position always have probability 50:50. 2nd position we have 70:30. 3rd position 80:20. 4th position 90:10. 5th position +/-100% price maybe retrace to resistance. We just need 15-20% movement to BEP our portfolio. That's why my winning rate 80%. I hope you can consider my signal to follow because this strategy proven almost 8 years until i decide to sell my signal. This strategy use by many fund managers because we don't trade the trend, we can't predict 100% so we calculate probability to our position if we have wrong position and how to make it profit again our portfolio. |