다음 이후의 성장 2026 -1%
실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오
  • 자본
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트레이드:
31
이익 거래:
12 (38.70%)
손실 거래:
19 (61.29%)
최고의 거래:
95.25 USD
최악의 거래:
-104.78 USD
총 수익:
527.04 USD (301 850 pips)
총 손실:
-582.81 USD (394 488 pips)
연속 최대 이익:
4 (275.41 USD)
연속 최대 이익:
275.41 USD (4)
샤프 비율:
-0.03
거래 활동:
100.00%
최대 입금량:
5.54%
최근 거래:
1 시간 전
주별 거래 수:
34
평균 유지 시간:
4 시간
회복 요인:
-0.17
롱(주식매수):
15 (48.39%)
숏(주식차입매도):
16 (51.61%)
수익 요인:
0.90
기대수익:
-1.80 USD
평균 이익:
43.92 USD
평균 손실:
-30.67 USD
연속 최대 손실:
11 (-293.18 USD)
연속 최대 손실:
-293.18 USD (11)
월별 성장률:
-0.56%
Algo 트레이딩:
100%
잔고에 의한 삭감:
절대적:
333.98 USD
최대한의:
336.44 USD (3.36%)
상대적 삭감:
잔고별:
3.36% (336.08 USD)
자본금별:
0.35% (34.98 USD)

배포

심볼 Sell Buy
BTCUSD 21
USTEC 3
XAUUSD 3
USDJPY 2
DE40 1
US30 1
5 10 15 20 25 30
5 10 15 20 25 30
5 10 15 20 25 30
심볼 총 수익, USD 손실, USD 수익, USD
BTCUSD -215
USTEC 86
XAUUSD -120
USDJPY 154
DE40 10
US30 29
200 400 600
200 400 600
200 400 600
심볼 총 수익, pips 손실, pips 수익, pips
BTCUSD -125K
USTEC 29K
XAUUSD -2.1K
USDJPY 1.3K
DE40 670
US30 3.7K
200K 400K 600K
200K 400K 600K
200K 400K 600K
  • 입금량
  • 축소
최고의 거래: +95.25 USD
최악의 거래: -105 USD
연속 최대 이익: 4
연속 최대 손실: 11
연속 최대 이익: +275.41 USD
연속 최대 손실: -293.18 USD

리얼개 계정의 다양한 브로커들의 실행 통계를 기반으로 한 평균 편차가 핍(Pip)에 입력됩니다. 이 값은 "ICMarketsSC-MT5-6"의 제공업자의 값과 구독자의 값 간의 차이와 주문 실행 지연에 따라 달라집니다. 값이 낮을수록 복제의 질이 더 훌륭하다는 것을 의미합니다.

RoboForex-Pro
0.00 × 1
Exness-MT5Real39
0.00 × 2
ICMarketsSC-MT5-2
0.00 × 1
FPTradingLLC-Live
0.00 × 1
ICMarketsSC-MT5-6
1.04 × 146
VantageMarkets-Live 19
2.27 × 11
CapitalPointTrading-MT5-4
3.00 × 1
TradeMaxGlobal-Live
6.00 × 1
ICMarketsEU-MT5-5
7.42 × 162
ICMarketsSC-MT5-4
10.52 × 108
TickmillUK-Live
10.88 × 85
Exness-MT5Real8
11.09 × 69
ICMarketsSC-MT5-3
11.54 × 192
FPMarkets-Live2
14.00 × 1
BlackBullMarkets-Live
15.00 × 4
FusionMarkets-Live
15.78 × 242
Exness-MT5Real41
17.51 × 39
Exness-MT5Real7
26.30 × 152
Exness-MT5Real5
28.87 × 79
DooTechnology-Live
29.20 × 2061
실시간으로 거래를 보시려면 로그인 또는 등록으로 하십시오

This portfolio is built around a multi-strategy approach, rather than relying on a single trading system. Each strategy is designed to exploit a different market behavior, trades different asset classes, and follows its own independent trading logic. The goal is to keep correlation between strategies as low as possible, creating a smoother and more resilient equity curve over the long term.

The portfolio combines automated strategies across Forex, Gold, Bitcoin, and Equity Indices. It includes intraday directional models, session breakout strategies, and multi-level breakout systems. By diversifying across both markets and trading methodologies, no single strategy or asset has a dominant impact on the overall portfolio performance.

Risk management is the foundation of this portfolio. Every position is protected by a predefined Stop Loss. No Martingale, Grid, Averaging, or any other capital-escalation techniques are used. Position sizing is strictly controlled, and daily loss limits are implemented to reduce exposure during unfavorable market conditions. The objective is not to maximize short-term returns, but to build a portfolio capable of surviving and performing across different market cycles.

One important aspect of my money management is that I never allocate my entire capital to the trading account. Typically, only 20–30% of my total investment capital is deposited, while the remaining funds stay safely outside the account as reserve capital.

This means that even under an extreme Black Swan event, where the trading account experiences an unusually large drawdown - or in the worst case, a complete loss - the actual impact on my total capital is limited to only a fraction of my overall wealth. As a result, the drawdown shown on the trading account does not represent my true portfolio risk. The real risk is significantly lower because of the way capital is allocated.

For this reason, I strongly recommend that anyone copying this portfolio follows the same capital allocation approach. Treat the copy account as only one component of your total investment capital, rather than depositing everything into the trading account.

My goal is not to build the highest-return portfolio at any cost. The objective is to create a disciplined, diversified, and risk-conscious portfolio that is designed to remain robust through both normal markets and the rare periods of extreme volatility.

리뷰 없음
2026.08.03 23:44
Removed warning: The number of deals on the account is too small to evaluate trading
2026.08.03 10:05
Removed warning: Low trading activity - not enough trades detected during the last month
2026.08.02 22:01
Share of trading days is too low
2026.08.02 22:01
Share of days for 80% of trades is too low
2026.08.02 14:59
Trading operations on the account were performed for only 0 days. This comprises 0% of days out of the 4 days of the signal's entire lifetime.
2026.08.02 14:59
80% of trades performed within 0 days. This comprises 0% of days out of the 4 days of the signal's entire lifetime.
2026.08.02 14:59
Low trading activity - only 0 trades detected in the last month
2026.08.02 14:59
This is a newly opened account, and the trading results may be of random nature
2026.08.02 14:59
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
-1%
0
0
USD
9.9K
USD
1
100%
31
38%
100%
0.90
-1.80
USD
3%
1:500
복제