Marcus Kalipke
Marcus Kalipke
5 (1)
  • 정보
9+ 년도
경험
3
제품
74
데모 버전
0
작업
4
거래 신호
2
구독자
**Risk Warning:** Trading Derivatives carries a high level of risk to your capital and you should only trade with money you can afford to lose. Trading Derivatives may not be suitable for all investors, so please ensure that you fully understand the risks involved, and seek independent advice if necessary.
Marcus Kalipke 출시돈 제품
리뷰: 1
999.00 USD

중요 – “Trading capacity” 설정 Standard는 기술적 및 안전상의 이유로 EA의 기본 설정입니다. 그러나 충분한 자금이 있는 실제 계좌에서는 “Full” 설정을 권장합니다. Standard 모드에서는 추가적인 내부 안전 제한이 적용됩니다. 이는 특히 소규모 계좌, 최소 거래 로트가 큰 계좌 또는 사용 가능한 마진이 제한된 계좌를 보호하기 위한 것입니다. 따라서 유효한 거래 신호가 발생하더라도 일부 거래 또는 지정가/대기 주문이 차단될 수 있습니다. Breakouter가 의도된 전체 거래 용량 을 사용할 수 있도록 하려면 Trading capacity = Full 을 선택하십시오. 레버리지가 1:30인 계좌의 경우 먼저 두 설정을 모두 테스트하는 것을 권장합니다. 계좌 규모, 필요한 마진 및 동시에 보유할 수 있는 포지션 수를 고려해야 합니다. 계좌가 Full 모드를 충분히 감당할 수 있다면 1:30 레버리지에서도 Full이 권장 설정입니다 . Full 모드에서도

Marcus Kalipke MetaTrader 5 시그널 발표됨
Breakouter
가격: 49 USD, 성장: -3.98%
**Risk Warning:** Trading Derivatives carries a high level of risk to your capital and you should only trade with money you can afford to lose. Trading Derivatives may not be suitable for all investors, so please ensure that you fully understand the risks involved, and seek independent advice if necessary. BREAKOUTER X6 PORTFOLIO – OFFICIAL SIGNAL This signal documents the live trading activity of Breakouter X6 Portfolio on a dedicated trading account. The account is operated exclusively by
Marcus Kalipke
Marcus Kalipke
New Update for my Swinger Signal. Signal valid since 01.03.2026 - before was Developer Account. All with TP and SL in EA monitored.
https://www.mql5.com/de/signals/2355499
Marcus Kalipke
Marcus Kalipke
The Equity Booster has performed exceptionally well this week, despite the challenging market conditions caused by the Iran war. Since launch, a total of 388 trades have been executed.

All trades are managed with clearly defined take profit and stop loss levels at all times. There are no risky variations such as martingale, grid trading, or similar approaches. Instead, the system is based on a clean, controlled, and transparent trading logic.

The strategy uses an automatic risk management system. Weaker symbols remain at a low risk level until their quality improves. Once a symbol shows stronger performance, it is automatically upgraded to a higher risk level.

The evaluation is done on a rolling basis starting from 30 trades per symbol. If a symbol delivers strong results over that period, its risk level is automatically increased. The next stages will begin soon, as shown in the screenshot. At the moment, however, all symbols are still running at the lowest risk level.

In addition, all positions are closed daily before market close, so the system is regularly flat and no unnecessary overnight risk is taken.

Look inside and when you have Questions, ask me :)

https://www.mql5.com/de/signals/2360777
Marcus Kalipke
Marcus Kalipke
The Equity Booster has performed exceptionally well this week, despite the challenging market conditions caused by the Iran war. Since launch, a total of 388 trades have been executed.

All trades are managed with clearly defined take profit and stop loss levels at all times. There are no risky variations such as martingale, grid trading, or similar approaches. Instead, the system is based on a clean, controlled, and transparent trading logic.

The strategy uses an automatic risk management system. Weaker symbols remain at a low risk level until their quality improves. Once a symbol shows stronger performance, it is automatically upgraded to a higher risk level.

The evaluation is done on a rolling basis starting from 30 trades per symbol. If a symbol delivers strong results over that period, its risk level is automatically increased. The next stages will begin soon, as shown in the screenshot. At the moment, however, all symbols are still running at the lowest risk level.

In addition, all positions are closed daily before market close, so the system is regularly flat and no unnecessary overnight risk is taken.

Look inside and when you have Questions, ask me :)

https://www.mql5.com/de/signals/2360777
Marcus Kalipke
Marcus Kalipke
Look at Trades, look at Winrate and Look at DD under 3 %

https://www.mql5.com/de/signals/2360776

https://www.mql5.com/de/signals/2360777

Look inside :-)
Marcus Kalipke
Marcus Kalipke
2 Strategies, only Intraday, every Time SL and TP and never Risk. Drawdown under 3 %
Winrate ~ 80 %. Look inside:

https://www.mql5.com/de/signals/2360776

https://www.mql5.com/de/signals/2360777
Marcus Kalipke
Marcus Kalipke
Equity Booster. Always Stoploss Always Takeprofit. Never Risk. No Martingale, no Grid.
Very Small Drawdown.
https://www.mql5.com/de/signals/2360777
Look inside :-)
Marcus Kalipke
Marcus Kalipke
Equity Runner - Statistik since Begin - Multisymboltrading - look inside :-)
Every Trade have SL and TP.

https://www.mql5.com/de/signals/2360776
Marcus Kalipke
Marcus Kalipke
Equity Runner — in development for over a year and now fully completed.
Designed for controlled risk: every trade is protected with a fixed Stop Loss and Take Profit (no “naked” positions).

https://www.mql5.com/de/signals/2360776
Marcus Kalipke
Goldtrader 시그널에 대한 뉴스

Wochenauswertung (Lernzwecke): Wochen-Snapshot 21.02–28.02: Netto +9.26; positive Treiber v.a. GBPCHF +5.85 & AUDCAD +5.14, Gegenwind GBPJPY -8.50 & EURNZD -5.06; rollierendes Fenster = zuletzt verfügbare Trades je Symbol, aktuell ist die Stichprobe pro Symbol teils noch klein → daher alle Symbole weiterhin auf minimalem Risiko. Keine Handelsaufforderung/keine Anlageberatung

Marcus Kalipke MetaTrader 5 시그널 발표됨
"Goldtrader" 사용가능
Marcus Kalipke MetaTrader 5 시그널 발표됨
Swingtrader
가격: 30 USD, 성장: 80.56%
This signal is considered valid starting from 01.03.2026. Before that date, the account was used as a development and testing account. This signal uses a multi-layered, rule-based trading approach for Forex symbols and XAUUSD. The focus is on stable market conditions, controlled risk management, and clearly structured trade handling. The system combines trend-following and counter-trend approaches depending on the traded instrument. Signals are not evaluated in isolation but are filtered through