Naufal Raihan Andayuri / 프로필
- 정보
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1 년도
경험
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0
제품
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0
데몬 버전
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0
작업
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4
거래 신호
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0
구독자
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Individu
친구
요청
프로필 또는 사용자 검색을 통해 친구를 추가하면 친구가 온라인 상태인지 확인할 수 있습니다
나가고 있는
Naufal Raihan Andayuri
MetaTrader 4 시그널 발표됨
We trade using a method that we have automated into an EA for this Account We just follow one simple method / system that so called "Counting probability". This account only uses the breakout SnR which is very simple (follow the trend) Monthly Expected Return = 5% Annual Expected Return = 60% Drawdown Risk < 50% Margin Used per Trade = 1 - 2% Max. Open Margin Used = 30% Max. Drawdown 2000 pips Better use broker with swap free, It can be long holding position sometimes Start Lot minimum
Naufal Raihan Andayuri
MetaTrader 4 시그널 발표됨
We trade using a method that we have automated into an EA for this Account We just follow one simple method / system that so called "Counting probability". This account only uses the breakout SnR which is very simple (follow the trend) Monthly Expected Return = 5% Annual Expected Return = 60% Drawdown Risk < 50% Margin Used per Trade = 1 - 2% Max. Open Margin Used = 30% Max. Drawdown 2000 pips Better use broker with swap free, It can be long holding position sometimes Start Lot minimum
Naufal Raihan Andayuri
MetaTrader 5 시그널 발표됨
We trade using a method that we have automated into an EA for this Account We just follow one simple method / system that so called "Counting probability". This account only uses the breakout SnR which is very simple (follow the trend) Monthly Expected Return = 5% Annual Expected Return = 60% Drawdown Risk < 50% Margin Used per Trade = 1 - 2% Max. Open Margin Used = 30% Max. Drawdown 2000 pips Better use broker with swap free, It can be long holding position sometimes Start Lot minimum
Naufal Raihan Andayuri
MetaTrader 4 시그널 발표됨
We trade manually for this Methods (except copy from our another Acc) We just follow one simple method / system that so called "Counting probability". This account only uses the breakout SnR which is very simple (follow the trend) Monthly Expected Return = 5% Annual Expected Return = 60% Drawdown Risk < 50% Margin Used per Trade = 1 - 5% Max. Open Margin Used = 30% Max. Drawdown 2000 pips Better use broker with swap free, It can be long holding position sometimes Start Lot minimum
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