Fernando Atilio Fischer / Profilo
- Informazioni
|
no
esperienza
|
0
prodotti
|
0
versioni demo
|
|
0
lavori
|
1
segnali
|
0
iscritti
|
Support
al
Other
I am a disciplined, risk-focused trader with a strong analytical and technical background. My approach to trading is built around probability, execution quality, and capital preservation rather than prediction or speculation. I focus on understanding market structure, liquidity behavior, and the statistical nature of price movement, especially in short-term environments.
I trade primarily on lower timeframes using a structured, rule-based approach that emphasizes clear invalidation points, controlled risk, and consistent execution. I place a strong emphasis on risk management, including precise position sizing, predefined stop-loss logic, and strict exposure control. Profit is treated as a byproduct of correct process, not the primary objective.
Beyond execution, I actively develop my own trading tools and analytics systems. This includes custom risk-management logic, trade tracking, data analysis, and market behavior research using Python, SQLite, and platform-specific scripting. Building my own tools allows me to remove emotional bias, test ideas objectively, and maintain full transparency over my performance and decision-making.
I view trading as a long-term skill that combines statistics, psychology, and system design. Continuous learning, post-trade analysis, and process refinement are central to my methodology. My goal is not frequency or excitement, but consistency, robustness, and survivability across different market conditions.
I trade primarily on lower timeframes using a structured, rule-based approach that emphasizes clear invalidation points, controlled risk, and consistent execution. I place a strong emphasis on risk management, including precise position sizing, predefined stop-loss logic, and strict exposure control. Profit is treated as a byproduct of correct process, not the primary objective.
Beyond execution, I actively develop my own trading tools and analytics systems. This includes custom risk-management logic, trade tracking, data analysis, and market behavior research using Python, SQLite, and platform-specific scripting. Building my own tools allows me to remove emotional bias, test ideas objectively, and maintain full transparency over my performance and decision-making.
I view trading as a long-term skill that combines statistics, psychology, and system design. Continuous learning, post-trade analysis, and process refinement are central to my methodology. My goal is not frequency or excitement, but consistency, robustness, and survivability across different market conditions.
Amici
Richieste
Aggiungi amici tramite il loro profilo o la ricerca utente e sarai in grado di vedere se sono online
In uscita
: