|Брокер:||Gain Capital Group, …|
|Обновлено:||1 год назад|
|Описание стратегии счёта|
|АвтоКопи Модель Сбора(ов)||Комиссионная модель сборов отсутствует в демо счетах.|
Using technical and fundamental analysis. Trades in this strategy will typically run for 3 to 4 days or as short as an hour. Some trades will be canceled early to prevent excessive draw down. Problems with this strategy is where profit is not captured and the price returns to the starting point. Another problem is that many good trades are missed because the entry is often too conservative. Benefits are that trades can extend pip gains for weeks but are limited in duration to not continue past the last day of the month. If a trade goes into an extended time mode, the stop is placed to break even or a take profit to prevent exposure to losses. Another benefit is that draw downs and general exposure risk is limited. This operation is conducted by computer but is aligned by a human to set parameters each hour, and is always set to trade at a total margin usage of maximum of %30. The plan is aggressive and will compound the equity after each closed trade. Trade size is determined by quality of risk to reward ratio and a margin exposure limit of %5 for any one trade. This is why larger trades tend to have a closer stop and are only placed when conditions are perfect.