Invelax High Risk

0 recensioni
1 settimana
0 / 0 USD
crescita dal 2026 -0%
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  • Equità
  • Drawdown
Trade:
8
Profit Trade:
4 (50.00%)
Loss Trade:
4 (50.00%)
Best Trade:
0.46 USD
Worst Trade:
-0.43 USD
Profitto lordo:
0.74 USD (65 pips)
Perdita lorda:
-2.98 USD (136 pips)
Vincite massime consecutive:
4 (0.74 USD)
Massimo profitto consecutivo:
0.74 USD (4)
Indice di Sharpe:
-0.37
Attività di trading:
100.00%
Massimo carico di deposito:
0.74%
Ultimo trade:
14 ore fa
Trade a settimana:
63
Tempo di attesa medio:
7 ore
Fattore di recupero:
-0.79
Long Trade:
7 (87.50%)
Short Trade:
1 (12.50%)
Fattore di profitto:
0.25
Profitto previsto:
-0.28 USD
Profitto medio:
0.19 USD
Perdita media:
-0.75 USD
Massime perdite consecutive:
4 (-1.70 USD)
Massima perdita consecutiva:
-1.70 USD (4)
Crescita mensile:
-0.01%
Algo trading:
0%
Drawdown per saldo:
Assoluto:
2.24 USD
Massimale:
2.82 USD (0.02%)
Drawdown relativo:
Per saldo:
0.02% (2.82 USD)
Per equità:
0.21% (26.86 USD)

Distribuzione

Simbolo Operazioni Sell Buy
CADCHF+ 7
EURUSD+ 1
1 2 3 4 5 6 7
1 2 3 4 5 6 7
1 2 3 4 5 6 7
Simbolo Profitto lordo, USD Perdita, USD Profitto, USD
CADCHF+ -1
EURUSD+ 0
1 2 3
1 2 3
1 2 3
Simbolo Profitto lordo, pips Perdita, pips Profitto, pips
CADCHF+ -74
EURUSD+ 3
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
  • Carico di deposito
  • Drawdown
Best Trade: +0.46 USD
Worst Trade: -0 USD
Vincite massime consecutive: 4
Massime perdite consecutive: 4
Massimo profitto consecutivo: +0.74 USD
Massima perdita consecutiva: -1.70 USD

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 "VantageMarkets-Live 14" e le quotazioni dell'abbonato, nonché dai ritardi nell'esecuzione dell'ordine. Valori più bassi indicano una migliore qualità di copiatura.

Nessun dato

Invelax High Risk is a fully automated MT5 signal designed for long-term, growth-oriented capital allocation.

The strategy combines mean-reversion and reversal signals with stochastic momentum filters, rule-based position management, spread and slippage filters, and swap-cost optimization. It uses the same systematic trading logic as the Invelax Low-Risk version but applies a more assertive position-sizing and exposure framework.

The objective is not to maximize short-term returns, but to achieve systematic capital growth across extended market cycles.

Trading Approach

The system trades all 28 unique Forex pairs formed from:

EUR, USD, GBP, JPY, AUD, NZD, CHF, and CAD.

Because the same core trading logic is applied across the entire major-currency universe, the strategy is not dependent on the historical behavior of one specific pair. Its applicability across 28 different markets provides strong evidence that the underlying trading logic has a genuine structural edge rather than being the result of pair-specific historical optimization or curve fitting.

Trade duration may range from approximately one hour to several weeks, depending on market volatility and trade development.

Trading activity is not constant. There may be periods with higher trading volume, more simultaneous positions, and greater exposure, followed by quieter phases with fewer trades.

Low-Risk Alternative

A separate Invelax Low-Risk version is also available.

It uses the same underlying systematic trading logic but follows a more conservative position-sizing and exposure framework. It is intended for investors who prioritize a more defensive capital allocation and a steadier long-term risk profile.

Investors can therefore choose between the growth-oriented High-Risk version and the more conservative Low-Risk alternative according to their individual objectives and risk preferences.

Recommended Requirements

Minimum capital: USD 1,000 or more.

A higher account balance provides more free margin and a larger safety buffer. The lot size generally remains unchanged until the account balance reaches approximately USD 10,000.

Therefore, increasing capital below this level does not normally increase the nominal trade size or monetary loss per trade. Instead, the additional capital reduces the percentage risk relative to the account balance and improves the available margin.

Only after the account reaches approximately USD 10,000 may the lot size begin to increase according to the strategy’s predefined position-sizing rules.

Leverage: Minimum 1:50.

Account type: An ECN or Raw Spread account is strongly recommended.

Low spreads, minimal slippage, stable liquidity, competitive swap rates, and low-latency execution are important for maintaining execution quality.

Platform: MetaTrader 5
Operation: Fully automated
Risk profile: High Risk
Position sizing: No Martingale

Symbol Configuration

Subscribers must ensure that all 28 supported Forex pairs are available in their MT5 account.

Broker-specific symbol prefixes and suffixes must be considered. For example, EURUSD may appear as EURUSD.a , EURUSD.raw , EURUSDm , or mEURUSD .

Incorrect symbol mapping or unavailable pairs may prevent individual trades from being copied correctly.

Performance Differences

Subscriber results may differ from the signal-provider account due to differences in spreads, commissions, slippage, execution speed, swap rates, contract specifications, leverage, symbol configuration, and general broker conditions.

Track-Record Transparency

The signal-provider account will not use additional deposits or withdrawals to improve the appearance of the track record.

Such transactions may distort drawdown percentages, balance development, and the visual presentation of the equity curve. The objective is to provide a transparent and undistorted representation of the strategy’s actual performance and risk.


Non ci sono recensioni
2026.07.13 18:45
This is a newly opened account, and the trading results may be of random nature
2026.07.13 18:45
The number of deals on the account is too small to evaluate trading quality
Per vedere i trade in tempo reale, nome utente o registrati
Segnale
Costo
Crescita
Abbonati
Fondi
Saldo
Settimane
Expert Advisor
Trade
Vincita %
Attività
PF
Profitto previsto
Drawdown
Leva finanziaria
39USD al mese
-0%
0
0
USD
13K
USD
1
0%
8
50%
100%
0.24
-0.28
USD
0%
1:500
Copia