RUSLAN KUZNETSOV / プロファイル
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RUSLAN KUZNETSOV
November 2025
Dear subscribers, comrades, and observers, I'll try to explain my thoughts on trading in November 2025. I'll start by saying that I wanted to present the report in the form of charts and statistics, but at the last minute I decided to change the presentation concept. You can view all charts and statistics at any time in the trading signal sections.
Closing orders at the end of the month was my personal decision. I didn't feel any emotion. I was guided by the fact that the profit for the month, in my opinion, was sufficient, given the level of volatility in currency pairs. In my gut, this month was one of the most unpleasant for trading. I follow various signals on MQL and want to note that even with this trading style, we showed good results and ended the month with a 28% profit. MQL calculated the profit for November at 23% at the end of the month, but this isn't accurate because MQL needs some time to adjust its statistics. At this point, I reduced my deposit to $300, and the variables shifted accordingly.
From a psychological and common sense perspective, it's better to remain calm and avoid unnecessary negative thoughts. My trading philosophy remains the same: the less time we spend in the market, the less likely a bad event is. I'm confident that we would have recovered our positions during the Asian session on Monday, but I'll say it again...Our peace of mind is more valuable!
From the beginning of the month until mid-month, the market was very static. Every day, I tried to earn at least 1%. I succeeded. I won't say it was easy, especially given that the order volume was reduced. Generally, with so much going on in the world, you need a good eye and intuition. Political events greatly influence the market.
Regarding drawdowns, I'll say the following. Risk is a component of trading. We all take some risks when we do business. I agree that if the risk is small, that's good. Believe me, I'm interested in both you and me worrying less. Unfortunately, this month's drawdown was 47%, and fortunately, we had enough margin to ignore it. For example, if two traders had the same drawdown of 30%, one would have a margin before bankruptcy of 60 points, while the other would have 500 points. I want to point out that there are key metrics for evaluating a trader's performance. In my opinion, the most significant are the percentage of profitable trades, deposit utilisation, and so on. I'll talk about this later.
This month, I reduced my order volume by almost half. This allowed me to reduce the deposit utilisation and mitigate market entry inaccuracies. The deposit utilisation during the drawdown did not exceed 20%.
Action plan for December.
1. I'm starting December with a deposit of $300. Your deposit is recommended to be equal to this amount + 2% (300 + 2%, 600 + 2%, 900 + 2%, 1200 + 2%, etc.). This ensures that your lot is a multiple of mine.
2. We plan for profit, as usual, at 30% of the deposit. Drawdown is up to 20%. Order volume will be at November levels, with a slight increase of 30% in some cases. A trailing stop will be applied to some positions starting mid-December.
3. Withdrawals are recommended at the end of the month, or at any time provided that positions are closed. Order volume is determined by the deposit at the beginning of the month.
That's all I wanted to say. There's no point in making any predictions or cluttering your head with unnecessary information and beautiful drawings. Everything ingenious is simple! Good luck to us and have a great end to the year!
Dear subscribers, comrades, and observers, I'll try to explain my thoughts on trading in November 2025. I'll start by saying that I wanted to present the report in the form of charts and statistics, but at the last minute I decided to change the presentation concept. You can view all charts and statistics at any time in the trading signal sections.
Closing orders at the end of the month was my personal decision. I didn't feel any emotion. I was guided by the fact that the profit for the month, in my opinion, was sufficient, given the level of volatility in currency pairs. In my gut, this month was one of the most unpleasant for trading. I follow various signals on MQL and want to note that even with this trading style, we showed good results and ended the month with a 28% profit. MQL calculated the profit for November at 23% at the end of the month, but this isn't accurate because MQL needs some time to adjust its statistics. At this point, I reduced my deposit to $300, and the variables shifted accordingly.
From a psychological and common sense perspective, it's better to remain calm and avoid unnecessary negative thoughts. My trading philosophy remains the same: the less time we spend in the market, the less likely a bad event is. I'm confident that we would have recovered our positions during the Asian session on Monday, but I'll say it again...Our peace of mind is more valuable!
From the beginning of the month until mid-month, the market was very static. Every day, I tried to earn at least 1%. I succeeded. I won't say it was easy, especially given that the order volume was reduced. Generally, with so much going on in the world, you need a good eye and intuition. Political events greatly influence the market.
Regarding drawdowns, I'll say the following. Risk is a component of trading. We all take some risks when we do business. I agree that if the risk is small, that's good. Believe me, I'm interested in both you and me worrying less. Unfortunately, this month's drawdown was 47%, and fortunately, we had enough margin to ignore it. For example, if two traders had the same drawdown of 30%, one would have a margin before bankruptcy of 60 points, while the other would have 500 points. I want to point out that there are key metrics for evaluating a trader's performance. In my opinion, the most significant are the percentage of profitable trades, deposit utilisation, and so on. I'll talk about this later.
This month, I reduced my order volume by almost half. This allowed me to reduce the deposit utilisation and mitigate market entry inaccuracies. The deposit utilisation during the drawdown did not exceed 20%.
Action plan for December.
1. I'm starting December with a deposit of $300. Your deposit is recommended to be equal to this amount + 2% (300 + 2%, 600 + 2%, 900 + 2%, 1200 + 2%, etc.). This ensures that your lot is a multiple of mine.
2. We plan for profit, as usual, at 30% of the deposit. Drawdown is up to 20%. Order volume will be at November levels, with a slight increase of 30% in some cases. A trailing stop will be applied to some positions starting mid-December.
3. Withdrawals are recommended at the end of the month, or at any time provided that positions are closed. Order volume is determined by the deposit at the beginning of the month.
That's all I wanted to say. There's no point in making any predictions or cluttering your head with unnecessary information and beautiful drawings. Everything ingenious is simple! Good luck to us and have a great end to the year!
RUSLAN KUZNETSOV
Hello.
This month was very productive with little volatility. I was able to close orders that were causing me losses. Trading is over for this month. My overall profit for the month was 61%, but some of that profit was closed by closing negative orders. As a result, I'm left with a 33% profit for the month.
Next month, we expect a profit of 33%.
Thank you all, and good luck to everyone!!!
This month was very productive with little volatility. I was able to close orders that were causing me losses. Trading is over for this month. My overall profit for the month was 61%, but some of that profit was closed by closing negative orders. As a result, I'm left with a 33% profit for the month.
Next month, we expect a profit of 33%.
Thank you all, and good luck to everyone!!!
RUSLAN KUZNETSOV
パブリッシュされたMetaTrader 5シグナル
こんにちは. 私はあなたの注意に信号を提示します。 あなた自身の戦略に基づいてのみ手動取引。 私の仕事の基本的なルールは、最小限のドローダウンで30%の地域で毎月安定した利益を上げることです。 利益は毎日1%として計算されます。(3番目の数字=3%、16番目の数字=16%など))たとえば、10日目に利益が10%を超え、ドローダウンに注文がある場合は、この注文を部分的または完全に閉じます。 したがって、ある時点で失われた注文が表示されても心配しないでください。 これは、リスクを最小限に抑えるために行われます。 04/11/25 注文は私の預金に正比例して開かれていることに注意してください。 したがって、残高が100ドルの0.01の多い注文を開き、アカウントに1,000ドルがある場合、0.1の多い注文を開くことになります。 月末に資金が引き出されない場合、その割合が違反する可能性があり、私があなたよりも大きな割合の利益を持つ状況が発生する可能性があります。 したがって、月末に収益を撤回しましょう。 このトピックに関する質問や提案がある場合は、遠慮なく書いてください。
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