Apex Real Strategy Short Term

0 recensioni
Affidabilità
12 settimane
0 / 0 USD
crescita dal 2026 69%
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  • Equità
  • Drawdown
Trade:
43
Profit Trade:
29 (67.44%)
Loss Trade:
14 (32.56%)
Best Trade:
79.58 USD
Worst Trade:
-74.28 USD
Profitto lordo:
485.89 USD (9 763 pips)
Perdita lorda:
-255.69 USD (7 474 pips)
Vincite massime consecutive:
6 (95.97 USD)
Massimo profitto consecutivo:
95.97 USD (6)
Indice di Sharpe:
0.23
Attività di trading:
90.31%
Massimo carico di deposito:
23.55%
Ultimo trade:
11 ore fa
Trade a settimana:
7
Tempo di attesa medio:
4 giorni
Fattore di recupero:
1.87
Long Trade:
23 (53.49%)
Short Trade:
20 (46.51%)
Fattore di profitto:
1.90
Profitto previsto:
5.35 USD
Profitto medio:
16.75 USD
Perdita media:
-18.26 USD
Massime perdite consecutive:
3 (-123.43 USD)
Massima perdita consecutiva:
-123.43 USD (3)
Crescita mensile:
44.42%
Algo trading:
0%
Drawdown per saldo:
Assoluto:
69.21 USD
Massimale:
123.43 USD (75.62%)
Drawdown relativo:
Per saldo:
33.67% (123.43 USD)
Per equità:
0.95% (5.70 USD)

Distribuzione

Simbolo Operazioni Sell Buy
USDCHF 9
AUDNZD 7
GBPUSD 6
USDCAD 5
EURGBP 4
EURUSD 3
USDJPY 3
AUDUSD 3
EURCHF 3
1 2 3 4 5 6 7 8 9
1 2 3 4 5 6 7 8 9
1 2 3 4 5 6 7 8 9
Simbolo Profitto lordo, USD Perdita, USD Profitto, USD
USDCHF 117
AUDNZD 75
GBPUSD 20
USDCAD 22
EURGBP 8
EURUSD 49
USDJPY -95
AUDUSD 16
EURCHF 17
25 50 75 100 125 150 175 200 225 250 275 300
25 50 75 100 125 150 175 200 225 250 275 300
25 50 75 100 125 150 175 200 225 250 275 300
Simbolo Profitto lordo, pips Perdita, pips Profitto, pips
USDCHF 1.1K
AUDNZD 755
GBPUSD 1.2K
USDCAD -370
EURGBP 258
EURUSD 1.5K
USDJPY -3.1K
AUDUSD 580
EURCHF 433
1K 2K 3K 4K 5K
1K 2K 3K 4K 5K
1K 2K 3K 4K 5K
  • Carico di deposito
  • Drawdown
Best Trade: +79.58 USD
Worst Trade: -74 USD
Vincite massime consecutive: 6
Massime perdite consecutive: 3
Massimo profitto consecutivo: +95.97 USD
Massima perdita consecutiva: -123.43 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 "ICMarketsSC-MT5-2" e le quotazioni dell'abbonato, nonché dai ritardi nell'esecuzione dell'ordine. Valori più bassi indicano una migliore qualità di copiatura.

FXCC1-Trade
0.00 × 1
DooGroup-Live
0.00 × 1
ICMarkets-MT5
0.00 × 35
PrimeCodex-MT5
0.00 × 1
Exness-MT5Real10
0.00 × 3
SolidECN-Server
0.00 × 1
GFXCompanyWLL-Demo
0.00 × 1
GFXSecurities-GFXSECURITIES
0.00 × 1
GFXCompanyWLL-GFXSECURITIES
0.00 × 1
EverestCM-Live
0.00 × 1
ICMarketsSC-MT5-3
0.00 × 7
AlpariEvrasia-Real01
0.12 × 42
ICMarketsAU-Live
0.22 × 88
FusionMarkets-Demo
0.25 × 4
ICMarketsEU-MT5-4
0.36 × 11
ICMarketsEU-MT5-2
0.36 × 176
itexsys-Platform
0.43 × 7
CapitalXtend-MetaTrader5
0.44 × 9
VantageInternational-Live 13
0.50 × 2
Axiory-Live
0.50 × 2
FxPro-MT5 Live02
0.50 × 2
ICMarketsSC-MT5
0.54 × 6592
Exness-MT5Real8
0.54 × 483
ForexClub-MT5 Real Server
0.57 × 492
FPMarkets-Live
0.61 × 205
143 più
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Signal Description

Apex Real Strategy Short Term is a disciplined, short-term trading strategy operated on a live real-money account. The system is designed to build long-term, consistent equity growth while maintaining strict risk controls.

Trading Philosophy & Methodology

  • Consistent Micro-Gains: The core objective is steady monthly capital expansion by targeting small, well-defined profits—approximately 1% return per trade.

  • Short-Term Operations: All trades are executed on a short-term horizon, aiming to capture high-probability momentum with minimal exposure time to market noise.

  • Controlled Drawdown: Risk management is strictly prioritized over aggressive leverage. Risk parameters are hard-capped on every trade to protect capital and prevent deep drawdowns.

  • Capital Real Account: Traded on a live real account to ensure transparent execution, real market condition dynamics, and alignment of interests.

Key Rules & Management

  1. No Martingale / No Grid: The strategy does not rely on averaging down or dangerous recovery techniques.

  2. Fixed Risk Parameters: Every position is opened with predefined risk limits and stop-loss logic.

  3. Monthly Stability: The primary benchmark is a positive monthly balance through high-consistency win rates rather than high-risk single-trade home runs.

Recommendations for Subscribers

  • Account Type: Hedging or Netting MT5 account with low spreads and execution latency.

  • Deposit Ratio: Use 1:1 copy ratio or adjust according to your risk tolerance.

  • Investment Horizon: Evaluated on a month-to-month basis to appreciate cumulative compound growth.


Non ci sono recensioni
2026.07.29 20:15
80% of growth achieved within 3 days. This comprises 3.75% of days out of 80 days of the signal's entire lifetime.
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Segnale
Costo
Crescita
Abbonati
Fondi
Saldo
Settimane
Expert Advisor
Trade
Vincita %
Attività
PF
Profitto previsto
Drawdown
Leva finanziaria
30USD al mese
69%
0
0
USD
643
USD
12
0%
43
67%
90%
1.90
5.35
USD
34%
1:100
Copia