Sushan Maharjan / 프로필
- 정보
2 년도
경험
|
2
제품
|
0
데몬 버전
|
0
작업
|
0
거래 신호
|
0
구독자
|
프로필 또는 사용자 검색을 통해 친구를 추가하면 친구가 온라인 상태인지 확인할 수 있습니다
Its best to have Money and Risk management strategy than not to have any. Those strategy helps to risk low amount in any trade and helps to manage money so that few loosing trade wont have significant impact in your trading balance. The best part is it does all the calculations and places order accordingly. Other things that it does are: Makes sure that only 2% of total balance is risked per trade. Manges money by investing high in low volatile pairs and invest less in high volatile pairs Places
Then the script will take the necessary action: 1. Finds out how volatile is the pair and saves value for future calculation. 2. By implementing risk management strategy, it calculates how much money to risk on one trade. 3. Then it calculates lot size to trade after getting volatility value and risk amount. 4. Furthermore, it calculates take profit and stop loss level. 5. Finally, it sends order to