다음 이후의 성장 2026 12%
실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오
  • 자본
  • 축소
트레이드:
5
이익 거래:
5 (100.00%)
손실 거래:
0 (0.00%)
최고의 거래:
63.32 USD
최악의 거래:
0.00 USD
총 수익:
115.23 USD (11 185 pips)
총 손실:
0.00 USD
연속 최대 이익:
5 (115.23 USD)
연속 최대 이익:
115.23 USD (5)
샤프 비율:
0.94
거래 활동:
100.00%
최대 입금량:
1.24%
최근 거래:
12 시간 전
주별 거래 수:
5
평균 유지 시간:
6 시간
회복 요인:
0.00
롱(주식매수):
4 (80.00%)
숏(주식차입매도):
1 (20.00%)
수익 요인:
n/a
기대수익:
23.05 USD
평균 이익:
23.05 USD
평균 손실:
0.00 USD
연속 최대 손실:
0 (0.00 USD)
연속 최대 손실:
0.00 USD (0)
월별 성장률:
11.52%
Algo 트레이딩:
0%
잔고에 의한 삭감:
절대적:
0.00 USD
최대한의:
0.00 USD (0.00%)
상대적 삭감:
잔고별:
0.00% (0.00 USD)
자본금별:
0.00% (0.00 USD)

배포

심볼 Sell Buy
XAUUSD 2
AUDUSD 1
GBPUSD 1
USDJPY 1
1 2
1 2
1 2
심볼 총 수익, USD 손실, USD 수익, USD
XAUUSD 104
AUDUSD 4
GBPUSD 4
USDJPY 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
심볼 총 수익, pips 손실, pips 수익, pips
XAUUSD 10K
AUDUSD 137
GBPUSD 433
USDJPY 234
2.5K 5K 7.5K 10K 13K 15K 18K 20K
2.5K 5K 7.5K 10K 13K 15K 18K 20K
2.5K 5K 7.5K 10K 13K 15K 18K 20K
  • 입금량
  • 축소
최고의 거래: +63.32 USD
최악의 거래: -0 USD
연속 최대 이익: 5
연속 최대 손실: 0
연속 최대 이익: +115.23 USD
연속 최대 손실: -0.00 USD

리얼개 계정의 다양한 브로커들의 실행 통계를 기반으로 한 평균 편차가 핍(Pip)에 입력됩니다. 이 값은 "Tickmill-Live"의 제공업자의 값과 구독자의 값 간의 차이와 주문 실행 지연에 따라 달라집니다. 값이 낮을수록 복제의 질이 더 훌륭하다는 것을 의미합니다.

GFXSecurities-GFXSECURITIES
0.00 × 2
CapitalPointTrading-MT5-4
0.00 × 2
ICMarketsSC-MT5-6
0.00 × 1
VantageInternational-Live 4
0.00 × 1
Exness-MT5Real12
0.00 × 1
FusionMarkets-Live
0.00 × 3
FOREX.comCA-Live 532
0.00 × 1
ICMarkets-MT5
0.33 × 3
TickmillEU-Live
0.50 × 4
itexsys-Platform
1.00 × 1
OxSecurities-Live
1.00 × 2
Exness-MT5Real8
1.37 × 172
VTMarkets-Live
1.50 × 2
Exness-MT5Real7
1.67 × 3
FxPro-MT5 Live02
1.75 × 20
DooTechnology-Live
1.79 × 48
RHCInvestments-Metadoro
1.80 × 10
DerivSVG-Server
2.00 × 1
GoMarkets-Live
2.06 × 86
ICMarketsSC-MT5
2.12 × 225
Tickmill-Live
2.18 × 18226
VantageInternational-Live 8
2.25 × 4
Aglobe-Live
2.40 × 5
ICMarketsSC-MT5-2
2.60 × 1322
Pepperstone-MT5-Live01
2.79 × 19
60 더...
실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오
​Professional Forex Trader & Signal Provider
​With more than 10 years of experience in the Forex market and brokerage industry, I have developed a deep understanding of market behavior, liquidity flows, and the operational dynamics of retail brokers. This background allows me to effectively identify market traps, avoid high-risk environments, and dynamically adapt trading decisions to changing market conditions.
​My trading approach is anchored in strict risk management, low drawdown, and continuous market analysis. A proprietary, software-based hidden stop-loss system is integrated into the strategy to enhance risk control and protect trading positions from unexpected market events.
​The strategy focuses on achieving a high recovery factor while maintaining very low overall risk exposure. Rather than chasing short-term market excitement, I prioritize disciplined execution, dynamic adaptation to fresh market data, and the absolute avoidance of emotional or highly speculative trading environments.
​Key Features:
​Over 10 years of professional Forex and brokerage industry experience.
​Advanced understanding of broker-side practices and market execution dynamics.
​Proprietary hidden stop-loss management system.
​Utilization of advanced correlation strategies for precise position selection and directional bias.
​Dual-approach capability, effectively employing both bullish and bearish strategies.
​High recovery factor coupled with low-risk portfolio management.
​Low-drawdown strategy engineered for long-term capital preservation.
​Continuous adaptation to evolving market environments.
​Smart Liquidity Management: Refraining from entering new positions or timely exiting current ones during periods of low market liquidity.
​Entering Gold (XAU) positions with ultra-low volume/lot size solely to optimize account data metrics.
​Avoidance of high-volatility spikes and emotionally driven market traps.
​Average position holding period: 4–7 days.
​Minimum trading activity: approximately 3 positions per week.
​Targeting consistent performance through disciplined, risk-adjusted trading.
​Recommended Capital & Copy-Trading Potential:
​Minimum recommended copy investment: USD 1,000.
​Optimized for larger portfolios: Highly suitable for accounts above USD 20,000 due to the strategy's low drawdown characteristics and high capital efficiency.
​Volume Multiplier Opportunity: Due to the tight stop-loss (SL) and relatively high average take-profit (TP) ratios, investors using advanced copy-trading platforms can safely scale up allocation, even copying at double (2x) the trader's volume on selected instruments.
​Performance Objective:
​The strategy aims for consistent and sustainable growth, with a historical target of approximately 6% average monthly return under normal market conditions. Actual results may vary depending on the market environment and individual risk settings.
​Institutional & Investor Relations:
I am fully open to working with professional investors and institutional-level clients. Partnership opportunities, including customized trader-investor cooperation structures, can be discussed and considered for qualified capital providers.
리뷰 없음
2026.06.01 08:43
Low trading activity - only 3 trades detected in the last month
2026.06.01 08:43
This is a newly opened account, and the trading results may be of random nature
2026.06.01 08:43
The number of deals on the account is too small to evaluate trading quality
실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오
시그널
가격
성장
구독자
자금
잔고
Expert Advisor
트레이드
이익 %
활동
PF
기대수익
축소
레버리지
월별 50 USD
12%
0
0
USD
1.1K
USD
1
0%
5
100%
100%
n/a
23.05
USD
0%
1:500
복제