PING INVESTIMENT MAFE PROJECT

다음 이후의 성장 2026 10%
실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오
  • 자본
  • 축소
트레이드:
18
이익 거래:
15 (83.33%)
손실 거래:
3 (16.67%)
최고의 거래:
6.66 USD
최악의 거래:
-3.12 USD
총 수익:
21.49 USD (2 172 pips)
총 손실:
-4.96 USD (454 pips)
연속 최대 이익:
5 (5.53 USD)
연속 최대 이익:
7.12 USD (3)
샤프 비율:
0.46
거래 활동:
18.56%
최대 입금량:
52.01%
최근 거래:
9 시간 전
주별 거래 수:
18
평균 유지 시간:
9 분
회복 요인:
5.10
롱(주식매수):
5 (27.78%)
숏(주식차입매도):
13 (72.22%)
수익 요인:
4.33
기대수익:
0.92 USD
평균 이익:
1.43 USD
평균 손실:
-1.65 USD
연속 최대 손실:
1 (-3.12 USD)
연속 최대 손실:
-3.12 USD (1)
Algo 트레이딩:
0%
잔고에 의한 삭감:
절대적:
0.00 USD
최대한의:
3.24 USD (1.93%)
상대적 삭감:
잔고별:
1.88% (3.16 USD)
자본금별:
5.57% (9.55 USD)

배포

심볼 Sell Buy
NAS100 9
XAUUSD 9
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
심볼 총 수익, USD 손실, USD 수익, USD
NAS100 4
XAUUSD 12
5 10 15 20
5 10 15 20
5 10 15 20
심볼 총 수익, pips 손실, pips 수익, pips
NAS100 404
XAUUSD 1.3K
250 500 750 1K 1.3K 1.5K 1.8K 2K
250 500 750 1K 1.3K 1.5K 1.8K 2K
250 500 750 1K 1.3K 1.5K 1.8K 2K
  • 입금량
  • 축소
최고의 거래: +6.66 USD
최악의 거래: -3 USD
연속 최대 이익: 3
연속 최대 손실: 1
연속 최대 이익: +5.53 USD
연속 최대 손실: -3.12 USD

리얼개 계정의 다양한 브로커들의 실행 통계를 기반으로 한 평균 편차가 핍(Pip)에 입력됩니다. 이 값은 "PepperstoneBS-MT5-Live01"의 제공업자의 값과 구독자의 값 간의 차이와 주문 실행 지연에 따라 달라집니다. 값이 낮을수록 복제의 질이 더 훌륭하다는 것을 의미합니다.

데이터 없음

📈 Mafê 15th Birthday Project – Strategy Based on Market Structure

The Mafê 15th Birthday Project was created with the objective of tracking, on a live account, a trading methodology based on technical analysis, market structure, operational discipline, and risk management, using the MetaTrader 5 platform.

The project started on 07/09/2026, with an initial capital of US$ 160.00, and has a predefined monitoring period, scheduled to end on 01/29/2027.

The project name refers to a personal goal of the account owner: to follow the capital evolution as part of the financial planning for his daughter Mafê’s 15th birthday celebration.

This information is purely contextual and personal, and does not represent a promise of profitability, a guarantee of results, or any expected financial return.

⚠️ Risk warning: past performance does not guarantee future results. Trading financial markets involves high risk and may result in partial or total loss of the invested capital.

🔍 Methodology Used

The strategy is based on an objective reading of market structure, focusing on trend, technical regions, price behavior, liquidity, and possible market reaction zones.

The methodology uses simple technical analysis, supported by the following moving averages:

MMA 9
MMA 17
MMA 72

The moving averages are used to identify the prevailing direction, confirm trend context, support the reading of price structure, and map possible areas of exhaustion, rejection, or movement resumption.

The strategy also uses the reading of PHR and PLS:

PHR means price high region, resistance area, or upper rejection zone. It is a zone where price has shown difficulty continuing upward, which may indicate liquidity, buyer exhaustion, or a possible reaction point for sell trades.

PLS means price low support, support area, or lower rejection zone. It is a zone where price has shown difficulty continuing downward, which may indicate liquidity, seller exhaustion, or a possible reaction point for buy trades.

These zones do not represent automatic entries. They are areas of attention. The ideal entry occurs only after setup validation, such as clear rejection, breakout failure, return into the structure, or confirmation by market context.

⏰ Operational Logic

The trades are mainly based on the reading of highs, lows, liquidity, and rejections formed during the main market sessions:

Asian Session
European Session
New York Session

These regions are treated as possible technical zones of support, resistance, liquidity, and price reaction, and may serve as references for entries, exits, or trade management.

The strategy seeks to trade based on technical context, avoiding random, premature, or emotional entries.

The project may use visual support tools, such as Ping Zone Copilot, which helps mark PHR/PLS zones, possible entry points, stop loss, TP1, TP2, risk/reward ratio, and free vacuum. The tool is only an auxiliary resource and does not eliminate the trader’s operational responsibility.

🧠 Risk Management and Control

The priority of the strategy is capital preservation, operational consistency, and emotional control during periods of market fluctuation.

The strategy:

✔️ Does not use martingale;
✔️ Does not use grid;
✔️ Does not use aggressive recovery methods;
✔️ Does not seek to compensate losses by increasing exposure in an uncontrolled way;
✔️ Works with technical stop loss;
✔️ Prioritizes entries with context, validation, and risk/reward ratio.

🎯 Operational Target and Withdrawal

The project works with an internal operational target of approximately 2% to 3% per day, whenever the market presents valid setups within the methodology.

This target does not represent a promise of profitability, a guarantee of daily return, or an obligation to trade every day. There may be days without trades, days below the target, negative days, losses, and drawdowns.

As a risk-control practice, amounts above the daily target may be withdrawn whenever possible, with the objective of reducing exposure, protecting part of the gains, and gradually recovering the initial investment.

📌 Subscriber Profile

This signal may be followed by traders who understand the risks of financial markets, seek a structured technical strategy, value transparency, and understand that individual risk management is the responsibility of each subscriber.

Each subscriber is responsible for evaluating whether the strategy is suitable for their profile, adjusting lot size according to their capital, controlling their own exposure, and using the signal consciously.

ℹ️ Important Notices

This signal does not constitute investment advice, financial consulting, or a promise of profitability.

The performance of the provider account may differ from the performance obtained by the subscriber due to factors such as broker, spread, slippage, latency, copy settings, leverage, available margin, and lot size.

Before subscribing, carefully evaluate whether the risk level is suitable for your expectations and operational profile.

📌 Transparency is a central part of the project: the objective is to follow a real market journey, including positive and negative results, correct decisions, mistakes, and evolution over time.


리뷰 없음
2026.07.09 16:41
Removed warning: High risk of negative slippage when copying deals
2026.07.09 16:41
Removed warning: Low trading activity - not enough trades detected during the last month
2026.07.09 15:41
Signal account leverage was changed 1 times within the range 1:50 - 1:200
2026.07.09 15:41
High risk of negative slippage when copying deals
2026.07.09 15:41
Low trading activity - only 1 trades detected in the last month
2026.07.09 15:41
This is a newly opened account, and the trading results may be of random nature
2026.07.09 15:41
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 30 USD
10%
0
0
USD
178
USD
1
0%
18
83%
19%
4.33
0.92
USD
6%
1:200
복제