Non è consentito l’abbonamento ai segnali con una leva finanziaria superiore a 1:500
Il drawdown attuale è pericoloso per gli abbonati. L'abbonamento sarà consentito una volta migliorato il drawdown.
- Equità
- Drawdown
Distribuzione
| Simbolo | Operazioni | Sell | Buy | |
|---|---|---|---|---|
| XAUUSD+ | 324 | |||
| AUDCAD+ | 189 | |||
| BTCUSD | 87 | |||
| EURUSD+ | 46 | |||
| USOUSD | 34 | |||
| USDCAD+ | 22 | |||
| AUDUSD+ | 18 | |||
| EURAUD+ | 10 | |||
| GBPUSD+ | 6 | |||
|
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400
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100
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400
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| Simbolo | Profitto lordo, USD | Perdita, USD | Profitto, USD | |
|---|---|---|---|---|
| XAUUSD+ | 4.5K | |||
| AUDCAD+ | 1.3K | |||
| BTCUSD | 820 | |||
| EURUSD+ | 118 | |||
| USOUSD | 396 | |||
| USDCAD+ | 53 | |||
| AUDUSD+ | 38 | |||
| EURAUD+ | 17 | |||
| GBPUSD+ | 40 | |||
|
2K
4K
6K
8K
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2K
4K
6K
8K
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2K
4K
6K
8K
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| Simbolo | Profitto lordo, pips | Perdita, pips | Profitto, pips | |
|---|---|---|---|---|
| XAUUSD+ | 54K | |||
| AUDCAD+ | 10K | |||
| BTCUSD | 3.3M | |||
| EURUSD+ | 2.8K | |||
| USOUSD | 5.3K | |||
| USDCAD+ | 1.7K | |||
| AUDUSD+ | 556 | |||
| EURAUD+ | 598 | |||
| GBPUSD+ | 635 | |||
|
1M
2M
3M
4M
5M
6M
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1M
2M
3M
4M
5M
6M
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1M
2M
3M
4M
5M
6M
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- Carico di deposito
- Drawdown
Lo slippage medio basato sulle statistiche di esecuzione sugli account reale dei vari broker è specificato in pip. Dipende dalla differenza tra le quotazioni del fornitore da "VantageInternational-Live 5" e le quotazioni dell'abbonato, nonché dai ritardi nell'esecuzione dell'ordine. Valori più bassi indicano una migliore qualità di copiatura.
|
FusionMarkets-Live
|
0.00 × 41 | |
I have been a Forex trader for over 10 years, operating consistently across the major currency markets. Throughout this period, I have developed and refined a proprietary strategy based on strict risk management, disciplined drawdown control, and diversification across multiple currency pairs.
The strategy is applied simultaneously across various instruments, reducing dependency on a single market and smoothing overall performance. This multi-currency approach allows me to capture opportunities under different market conditions — trends, consolidations, and reversals — while maintaining balanced and controlled exposure.
The primary focus is not only on generating profit, but on preserving capital. To achieve this, the strategy follows clear rules regarding:
-
Risk-adjusted position sizing
-
Dynamic exposure control
-
Strict drawdown limits monitored in real time
-
Active trade management, adapting to market evolution
Returns are consistent and sustainable, avoiding excessive leverage or aggressive trading behavior. Each trade represents only a small fraction of total capital, ensuring long-term durability even during unfavorable market conditions.
The strategy also incorporates continuous statistical monitoring, analyzing performance by period, drawdown behavior, asset efficiency, and equity curve stability. All strategic adjustments are data-driven and free from emotional decision-making.