incremento desde 2025 193%
Autorícese o regístrese para ver la estadística detallada
  • Equidad
  • Reducción
Total de Trades:
167
Transacciones Rentables:
145 (86.82%)
Transacciones Irrentables:
22 (13.17%)
Mejor transacción:
163.14 USD
Peor transacción:
-105.87 USD
Beneficio Bruto:
2 882.14 USD (61 872 pips)
Pérdidas Brutas:
-763.48 USD (7 921 pips)
Máximo de ganancias consecutivas:
39 (148.58 USD)
Beneficio máximo consecutivo:
575.09 USD (7)
Ratio de Sharpe:
0.39
Actividad comercial:
82.68%
Carga máxima del depósito:
55.31%
Último trade:
1 día
Trades a la semana:
5
Tiempo medio de espera:
6 días
Factor de Recuperación:
14.07
Transacciones Largas:
100 (59.88%)
Transacciones Cortas:
67 (40.12%)
Factor de Beneficio:
3.78
Beneficio Esperado:
12.69 USD
Beneficio medio:
19.88 USD
Pérdidas medias:
-34.70 USD
Máximo de pérdidas consecutivas:
4 (-12.91 USD)
Pérdidas máximas consecutivas:
-150.56 USD (2)
Crecimiento al mes:
19.76%
Pronóstico anual:
239.78%
Trading algorítmico:
0%
Reducción de balance:
Absoluto:
3.24 USD
Máxima:
150.56 USD (6.14%)
Reducción relativa:
De balance:
8.53% (152.48 USD)
De fondos:
32.55% (511.39 USD)

Distribución

Símbolo Transacciones Sell Buy
EURUSD_ECN 49
GBPUSD_ECN 44
AUDUSD_ECN 34
USDJPY_ECN 20
AUDCAD_ECN 11
USDCAD_ECN 6
USDCHF_ECN 3
10 20 30 40 50
10 20 30 40 50
10 20 30 40 50
Símbolo Beneficio Bruto, USD Loss, USD Beneficio, USD
EURUSD_ECN 595
GBPUSD_ECN 547
AUDUSD_ECN 188
USDJPY_ECN 710
AUDCAD_ECN 7
USDCAD_ECN 36
USDCHF_ECN 37
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
Símbolo Beneficio Bruto, pips Loss, pips Beneficio, pips
EURUSD_ECN 12K
GBPUSD_ECN 26K
AUDUSD_ECN 6.5K
USDJPY_ECN 6.4K
AUDCAD_ECN 1.3K
USDCAD_ECN 1.4K
USDCHF_ECN 746
2.5K 5K 7.5K 10K 13K 15K 18K 20K 23K 25K 28K 30K
2.5K 5K 7.5K 10K 13K 15K 18K 20K 23K 25K 28K 30K
2.5K 5K 7.5K 10K 13K 15K 18K 20K 23K 25K 28K 30K
  • Deposit load
  • Reducción
Mejor transacción: +163.14 USD
Peor transacción: -106 USD
Máximo de ganancias consecutivas: 7
Máximo de pérdidas consecutivas: 2
Beneficio máximo consecutivo: +148.58 USD
Pérdidas máximas consecutivas: -12.91 USD

El deslizamiento medio a base de la estadística de ejecución en las cuentas reales de diferentes corredores se indica en puntos. Depende de la diferencia de las cotizaciones del proveedor de "MishovMarkets-Live" y del suscriptor, así como del retardo en ejecutar las órdenes. Cuanto menos sea este valor, mejor será la calidad del copiado.

No hay datos

Signal Description
​Strategy Approach:

This signal follows a disciplined Swing Trading strategy combined with advanced Price Action analysis. My primary focus is on high-probability setups in major currency pairs, specifically EURUSD, GBPUSD, and USDJPY.

​Performance Highlights:
​High Precision: Maintaining a consistent 90%+ Win Rate through rigorous trade selection.
​Consistency: Targeting steady monthly growth with a focus on long-term capital appreciation.

​Professional Management: This account is managed with the same precision and risk controls used for high-volume institutional trading.

​Subscriber Guidelines:
​Recommended Balance: For optimal copying, a minimum deposit of $500 - $1,000 is advised.
​Leverage: A leverage of 1:500 is recommended to ensure all positions are mirrored accurately.

​Execution: Using a low-latency VPS is highly recommended to minimize slippage and ensure 24/7 synchronization.
​Risk Profile: This is a medium-to-long-term strategy. Average holding time is around 8 days; patience is key to hitting our targets.

​Commitment:
My priority is capital preservation and steady growth. I do not over-trade; I wait for the market to provide the best opportunities.

-------------------------------------------------------

STRATEGIC PERFORMANCE REPORT & CAPITAL MANAGEMENT PROSPECTUS

Prepared by: Majid Namavar

Analysis Period: October 2025 – May 2026 (Focus on Optimization Phase)

 1. EXECUTIVE SUMMARY

   This report outlines the operational efficiency and risk management framework of a proprietary trading strategy focused on major currency pairs. The primary objective is to deliver sustainable, predictable returns while maintaining institutional-grade capital protection. The strategy leverages high-probability Price Action, Daily timeframe fundamental context, and multi-timeframe execution (H4/H1).

 2. CORE PERFORMANCE METRICS (STATISTICAL EDGE)

   The following metrics reflect a high-frequency, high-precision execution model with a significant mathematical edge:

 * Total Win Rate: 85.62% (Exceptional market direction accuracy)

 * Profit Factor: 3.58 ($3.58 net profit for every $1 of risk)

 * Maximal Drawdown: 1.37% (Strict risk control & preservation)

 * Recovery Factor: 12.95 (High loss recovery capabilities)

 * Max Consecutive Wins: 39 Trades (Sustained execution discipline)

 * Expected Payoff: $12.75 (Positive expectancy per trade)

 3. SYMBOL-SPECIFIC EFFICIENCY & PIP YIELD

   Focusing on high-liquidity assets ensures scalability for large portfolios while minimizing slippage.

SYMBOL: EURUSD

 * Avg. Pip Yield: 28 Pips

 * Symbol Win Rate: 88%

 * Risk Attribution: Extremely Stable

SYMBOL: GBPUSD

 * Avg. Pip Yield: 35 Pips

 * Symbol Win Rate: 82%

 * Risk Attribution: High Momentum

SYMBOL: USDJPY

 * Avg. Pip Yield: 22 Pips

 * Symbol Win Rate: 84%

 * Risk Attribution: Precision Entries

 4. STRATEGIC RISK MANAGEMENT & CRISIS HANDLING

   A defining feature of this strategy is the proactive management of market volatility. Following a previous 32% drawdown phase, a strategic decision was made to halve all trading volumes. This move successfully stabilized the account, reducing the current operational drawdown to a minimal 1.37%. This demonstrates a "Safety-First" mentality, crucial for managing multi-million dollar portfolios and institutional funds.

 5. PROFESSIONAL CONCLUSION & SCALABILITY

   The current system is optimized for institutional scale. By excluding highly volatile indices and gold, we have eliminated "Explosive Risk," focusing instead on the steady compounding of the major currency markets. With an 85.6% overall win rate and a specialized focus on the London/New York session overlap, this model is prepared to manage assets up to $5,000,000 USD with high execution quality and professional stability.

No hay comentarios
2026.05.28 01:16
No swaps are charged on the signal account
2026.05.18 08:56
No swaps are charged
2026.05.18 08:56
No swaps are charged
2026.05.11 16:54
No swaps are charged on the signal account
2026.05.05 07:34
No swaps are charged
2026.05.05 07:34
No swaps are charged
2026.05.04 15:45
Removed warning: Too much growth in the last month indicates a high risk
2026.05.01 08:53
Too much growth in the last month indicates a high risk
2026.05.01 06:51
Share of trading days is too low
2026.04.29 15:23
Removed warning: No trading activity detected on the Signal's account for the recent period
2026.04.29 14:23
Removed warning: No trading activity detected on the Signal's account for the recent period
2026.04.29 13:23
No trading activity detected on the Signal's account for the last 6 days
2026.04.23 05:51
No swaps are charged on the signal account
2026.04.07 07:47
No swaps are charged
2026.04.07 07:47
No swaps are charged
2026.04.01 18:48
Removed warning: Low trading activity - not enough trades detected during the last month
2026.04.01 12:44
Low trading activity - only 6 trades detected in the last month
2026.03.27 16:08
Removed warning: No trading activity detected on the Signal's account for the recent period
2026.03.27 15:06
Removed warning: No trading activity detected on the Signal's account for the recent period
2026.03.26 17:52
No trading activity detected on the Signal's account for the last 6 days
Autorícese o regístrese para ver la estadística detallada
Señal
Precio
Incremento
Suscriptores
Fondos
Balance
Semanas
Robots comerciales
Trades
Rentables
Actividad
PF
Beneficio Esperado
Reducción
Apalancamiento
40 USD al mes
193%
0
0
USD
1.8K
USD
31
0%
167
86%
83%
3.77
12.69
USD
33%
1:500
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