다음 이후의 성장 2023
64%
레버리지가 1:500을 초과하는 시그널은 구독할 수 없습니다.
트레이드:
527
이익 거래:
273 (51.80%)
손실 거래:
254 (48.20%)
최고의 거래:
159.12 USD
최악의 거래:
-165.75 USD
총 수익:
6 141.20 USD
(163 136 pips)
총 손실:
-5 301.94 USD
(171 783 pips)
연속 최대 이익:
8 (80.25 USD)
연속 최대 이익:
253.30 USD (3)
샤프 비율:
0.06
거래 활동:
64.26%
최대 입금량:
1.24%
최근 거래:
3 일 전
주별 거래 수:
1
평균 유지 시간:
3 일
회복 요인:
1.27
롱(주식매수):
286 (54.27%)
숏(주식차입매도):
241 (45.73%)
수익 요인:
1.16
기대수익:
1.59 USD
평균 이익:
22.50 USD
평균 손실:
-20.87 USD
연속 최대 손실:
8 (-369.86 USD)
연속 최대 손실:
-369.86 USD (8)
월별 성장률:
-47.32%
연간 예측:
-100.00%
Algo 트레이딩:
99%
잔고에 의한 삭감:
절대적:
228.73 USD
최대한의:
659.14 USD (26.38%)
상대적 삭감:
잔고별:
59.83% (659.14 USD)
자본금별:
22.33% (158.18 USD)
배포
| 심볼 | 딜 | Sell | Buy | |
|---|---|---|---|---|
| EURUSD | 162 | |||
| GBPUSD | 148 | |||
| GOLD | 97 | |||
| GBPJPY | 38 | |||
| USDJPY | 27 | |||
| USDCAD | 25 | |||
| EURJPY | 20 | |||
| AUDUSD | 10 | |||
|
25
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75
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200
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25
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| 심볼 | 총 수익, USD | 손실, USD | 수익, USD | |
|---|---|---|---|---|
| EURUSD | -293 | |||
| GBPUSD | 1.1K | |||
| GOLD | -127 | |||
| GBPJPY | -20 | |||
| USDJPY | 124 | |||
| USDCAD | -16 | |||
| EURJPY | 36 | |||
| AUDUSD | 38 | |||
|
500
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500
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500
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|
| 심볼 | 총 수익, pips | 손실, pips | 수익, pips | |
|---|---|---|---|---|
| EURUSD | -1.1K | |||
| GBPUSD | 1.8K | |||
| GOLD | -9.5K | |||
| GBPJPY | -248 | |||
| USDJPY | 288 | |||
| USDCAD | -120 | |||
| EURJPY | 60 | |||
| AUDUSD | 152 | |||
|
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- 입금량
- 축소
최고의 거래:
+159.12
USD
최악의 거래:
-166
USD
연속 최대 이익:
3
연속 최대 손실:
8
연속 최대 이익:
+80.25
USD
연속 최대 손실:
-369.86
USD
QuantivFX is a 100% automated, rules-based trading strategy running on the MetaTrader 5 platform. It follows a fixed price-action logic — no discretionary intervention, no news gambling.
How it trades
- Multi-symbol: EURUSD, XAUUSD (Gold), GBPJPY, USDJPY, USDCAD and EURJPY, each with its own tuned parameters.
- Every single trade is opened with a hard stop-loss and a defined take-profit (fixed reward-to-risk).
- Fixed percentage risk per trade — position size scales with account balance, so the strategy adapts as the account grows or draws down.
- No martingale, no grid, no averaging into losers. One position per setup, one stop.
Risk management
Capital preservation comes first. Because risk is a fixed % of balance and every trade is protected by a stop-loss, worst-case exposure per position is known in advance. Drawdown is a normal part of any strategy — subscribers should be comfortable with the historical drawdown shown on this page before subscribing.
Recommended for subscribers
- Broker: low-spread ECN/Raw account; the six symbols above must be available.
- Leverage: 1:100 or higher.
- Minimum deposit: start with an amount proportional to this signal's balance (see the "Recommended deposit" figure MQL5 calculates from the growth chart) to keep the same risk profile.
- Execution: a low-latency VPS near the broker's server for accurate copying.
- Use a cent or small account first to confirm copying works on your broker before scaling up.
Important
Trading foreign exchange and CFDs carries a substantial risk of loss and is not suitable for every investor. Past performance is not indicative of future results. Only allocate capital you can afford to lose. This signal reflects the results of one account under specific conditions; your results will differ depending on broker, spread, slippage and execution.
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