- Equity
- Rückgang
Verteilung
| Symbol | Trades | Sell | Buy | |
|---|---|---|---|---|
| XAUUSD | 35 | |||
| BTCUSD | 19 | |||
| EURNZD | 16 | |||
| XAGUSD | 11 | |||
| NZDUSD | 10 | |||
| SPXUSD | 7 | |||
| AUDUSD | 5 | |||
| NZDCHF | 5 | |||
| U30USD | 4 | |||
| USOUSD | 2 | |||
| USDCAD | 1 | |||
| NASUSD | 1 | |||
| EURUSD | 1 | |||
| GBPUSD | 1 | |||
|
10
20
30
40
|
10
20
30
40
|
10
20
30
40
|
| Symbol | Bruttoprofit, USD | Loss, USD | Profit, USD | |
|---|---|---|---|---|
| XAUUSD | 720 | |||
| BTCUSD | 13 | |||
| EURNZD | 151 | |||
| XAGUSD | -244 | |||
| NZDUSD | -21 | |||
| SPXUSD | 98 | |||
| AUDUSD | 2 | |||
| NZDCHF | 55 | |||
| U30USD | 139 | |||
| USOUSD | -13 | |||
| USDCAD | 26 | |||
| NASUSD | 3 | |||
| EURUSD | 25 | |||
| GBPUSD | -21 | |||
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
|
| Symbol | Bruttoprofit, pips | Loss, pips | Profit, pips | |
|---|---|---|---|---|
| XAUUSD | 53K | |||
| BTCUSD | -19K | |||
| EURNZD | 2.8K | |||
| XAGUSD | -3.6K | |||
| NZDUSD | -105 | |||
| SPXUSD | 120 | |||
| AUDUSD | 60 | |||
| NZDCHF | 467 | |||
| U30USD | 786 | |||
| USOUSD | -90 | |||
| USDCAD | 738 | |||
| NASUSD | 40 | |||
| EURUSD | 255 | |||
| GBPUSD | -134 | |||
|
200K
400K
600K
800K
1M
|
200K
400K
600K
800K
1M
|
200K
400K
600K
800K
1M
|
- Deposit load
- Rückgang
Der durchschnittliche Slippage anhand der Statistik der Ausführung auf echten Konten verschiedener Broker ist in Punkten angegeben. Er hängt von der Differenz zwischen den Währungskursen des Anbieters von "FxviewCOM-Server" und des Abonnenten sowie von Verzögerungen in der Ausführung von Orders ab. Je kleiner der Wert ist, desto besser ist die Qualität des Kopierens.
Keine Angabe
VFUNDV
VFUNDV is a disciplined multi-market trading strategy built around one core principle: protect capital first, grow it second.
The strategy focuses primarily on swing trading while selectively capturing high-probability short-term opportunities across Forex, Gold, Silver, Crude Oil, Bitcoin, and major US indices.
Rather than pursuing constant aggressive exposure, risk is actively adjusted according to market conditions. Capital allocation is dynamic, allowing strong performance during favorable periods while reducing exposure during drawdowns.
The objective is not simply to generate high returns, but to achieve them with disciplined risk management and controlled capital preservation.
Every position is executed with predefined risk parameters, consistent execution, and a strict focus on maintaining long-term sustainability.
High performance is welcomed. Risk discipline is never compromised.