Nanang Dwi Setyawan / プロファイル
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I am a disciplined forex trader with a strategic focus on consistency, capital preservation, and controlled growth. With a primary emphasis on technical analysis across H1 and H4 timeframes, I specialize in executing well-defined setups based on price action, support/resistance, and multi-confirmation signals.
My trading approach avoids high-risk tactics such as martingale or grid systems, instead prioritizing risk-reward balance, proper stop-loss management, and strict position sizing. All trades are either manual or based on a semi-automated discretionary strategy, always under close supervision.
I believe that success in trading is built on patience, data-driven decisions, and long-term discipline—not short-term speculation.
Key Strengths:
1. Real, verified trading performance
2. Transparent signal management
3. No hidden risks, no manipulated data
If you're looking for a reliable, professionally managed signal with transparent results, feel free to follow and monitor the performance. I welcome long-term subscribers who value steady, sustainable growth
My trading approach avoids high-risk tactics such as martingale or grid systems, instead prioritizing risk-reward balance, proper stop-loss management, and strict position sizing. All trades are either manual or based on a semi-automated discretionary strategy, always under close supervision.
I believe that success in trading is built on patience, data-driven decisions, and long-term discipline—not short-term speculation.
Key Strengths:
1. Real, verified trading performance
2. Transparent signal management
3. No hidden risks, no manipulated data
If you're looking for a reliable, professionally managed signal with transparent results, feel free to follow and monitor the performance. I welcome long-term subscribers who value steady, sustainable growth
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発信
Nanang Dwi Setyawan
パブリッシュされたMetaTrader 5シグナル
Welcome to my trading signal! This signal is based on a disciplined price action and candlestick strategy combined with risk management principles. Timeframes: H4 and Daily Risk Management: Fixed risk per trade, Risk:Reward 1:1.5 Strategy: Entry based on candlestick confirmation with averaging on 50% drawdown, stop loss at candle wicks, and target profit at 1.5x risk Pairs: Major and cross pairs with stable volatility Advantages of this signal: Clear and consistent rules Moderate risk exposure
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