MarketFlow

0 отзывов
Надежность
2 недели
0 / 0 USD
прирост с 2026 10%
Авторизуйтесь или зарегистрируйтесь и получите доступ к текущим сделкам поставщика
  • Средства
  • Просадка
Всего трейдов:
8
Прибыльных трейдов:
7 (87.50%)
Убыточных трейдов:
1 (12.50%)
Лучший трейд:
5.50 EUR
Худший трейд:
-2.68 EUR
Общая прибыль:
13.09 EUR (776 pips)
Общий убыток:
-2.68 EUR (123 pips)
Макс. серия выигрышей:
5 (12.82 EUR)
Макс. прибыль в серии:
12.82 EUR (5)
Коэффициент Шарпа:
0.58
Торговая активность:
70.14%
Макс. загрузка депозита:
51.87%
Последний трейд:
1 день
Трейдов в неделю:
7
Ср. время удержания:
5 часов
Фактор восстановления:
3.88
Длинных трейдов:
8 (100.00%)
Коротких трейдов:
0 (0.00%)
Профит фактор:
4.88
Мат. ожидание:
1.30 EUR
Средняя прибыль:
1.87 EUR
Средний убыток:
-2.68 EUR
Макс. серия проигрышей:
1 (-2.68 EUR)
Макс. убыток в серии:
-2.68 EUR (1)
Прирост в месяц:
10.41%
Алготрейдинг:
0%
Просадка по балансу:
Абсолютная:
0.00 EUR
Максимальная:
2.68 EUR (2.38%)
Отноcительная просадка:
По балансу:
2.38% (2.68 EUR)
По эквити:
1.97% (2.22 EUR)

Распределение

Символ Сделки Sell Buy
USDCHF 4
EURUSD 3
WTI 1
1 2 3 4
1 2 3 4
1 2 3 4
Символ Общая прибыль, USD Убыток, USD Прибыль, USD
USDCHF 2
EURUSD 9
WTI 1
2 4 6 8 10
2 4 6 8 10
2 4 6 8 10
Символ Общая прибыль, pips Убыток, pips Прибыль, pips
USDCHF 61
EURUSD 475
WTI 117
100 200 300 400 500
100 200 300 400 500
100 200 300 400 500
  • Загрузка депозита
  • Просадка
Лучший трейд: +5.50 EUR
Худший трейд: -3 EUR
Макс. серия выигрышей: 5
Макс. серия проигрышей: 1
Макс. прибыль в серии: +12.82 EUR
Макс. убыток в серии: -2.68 EUR

Среднее проскальзывание на основе статистики исполнения на реальных счетах разных брокеров указано в пунктах. Зависит от разницы между котировками поставщика с "FxPro-MT5 Live03" и подписчика, а также от задержек в исполнении ордеров. Чем меньше значение, тем лучше качество копирования.

Нет данных

Low Risk Appetite Strategy

Trading strategy involves utilizing various analytical tools (e.g. Alteryx, CME QuikStrike), strategic price levels and price action, order blocks & fair value gaps, footprint charts, order flow, volumes and DOM liquidity analysis, cumulative delta, DPOC, margin zones, and option/futures data analysis from CME. Tools are used to identify potential entry and exit points, gain a holistic understanding of market trends and price movements to make informed trading decisions.

📆 Our dynamic analysis adapts to changing market conditions, encompassing new insights, reports, and publicly available economic and political developments.

Focusing on the following instruments: SP500 (#USSPX500), Nasdaq (#USNDAQ100), WTI, EUR/USD, GBP/USD, USD/CHF, USD/CAD, USD/JPY, AUD/USD, NZD/USD, GOLD, NGAS, Wheat and Bitcoin.
⏱ Our trading strategies encompass swing and middle-term approaches. Typically, we maintain active trade positions from one day to a week, aligning our tactics with prevailing market dynamics.

Money management strategy is a crucial aspect of trading to help manage risk and protect the capital:

1) Risk per Trade: 1-2% of the Deposit

This means that for each trade, you are willing to risk only a small percentage of your total trading capital. This is a conservative approach and helps to prevent large losses that could significantly impact your overall account.

2) Starting with 0.01 Lot Size (calculated automatically based % risk on account balance)

Using a fixed lot size, such as 0.01 lot, is a way to standardize your position sizes. It helps ensure consistency in your risk management strategy, especially if you're trading different assets with varying levels of volatility.

3) Take Profits: 1-2% of the Deposit
This suggests that you aim to take profits when your trade reaches a gain of 1-2% of your total trading capital. Taking profits is essential to lock in gains and prevent giving back profits during market fluctuations.

4) Target monthly growth: 1% to 3% of the Deposit

This range reflects current strategy approach, allowing for steady progress while also considering the inherent fluctuations in the market. We believe this measured strategy aligns with our commitment to long-term success and risk management.

5) Monitoring and Managing Maximum Drawdown: acceptable range up to 10%
Maximum drawdown (MDD) is a measure of the largest peak-to-trough decline in the value of an investment portfolio or equity. It's an important risk metric for investors and portfolio managers as it quantifies the potential downside risk.
We are willing to minimize a maximum loss from the peak value of the equity.

Why Choose Us?

✅ Proven Track Record: Our signals are backed by a solid track record of success. We let our results speak for themselves.
✅ Expert Analysis: Our team of seasoned analysts works tirelessly to bring you timely and accurate signals based on thorough market analysis.
✅ Risk Management: We prioritize the safety of your investment. Our signals come with built-in risk management strategies to help you trade confidently.

How to Get Started:

🔗 Sign up with just a few clicks.
💳 Deposit a minimum of 1 000 into your account.
📈 Receive our signals and watch your trading account growing.

Trading account with leverage from 1:30

Your MT5 terminal is better to run 24/7 in order to receive all trade or you need to rent a VPS server.
You can expect trades across the Majors FX pairs, indeces and commodities.

Past results doesn't guarantee future profits.

Нет отзывов
2026.02.06 15:45
Removed warning: Low trading activity - not enough trades detected during the last month
2026.02.06 08:38
Low trading activity - only 5 trades detected in the last month
2026.02.06 08:38
This is a newly opened account, and the trading results may be of random nature
2026.02.06 08:38
The number of deals on the account is too small to evaluate trading quality
Авторизуйтесь или зарегистрируйтесь и получите доступ к текущим сделкам поставщика
Сигнал
Цена
Прирост
Подписчики
Средства
Баланс
Недели
Торговые роботы
Трейды
В плюсе
Активность
PF
Мат. ожидание
Просадка
Плечо
39 USD в месяц
10%
0
0
USD
110
EUR
2
0%
8
87%
70%
4.88
1.30
EUR
2%
1:30
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