- Varlık
- Düşüş
Dağılım
| Sembol | İşlemler | Sell | Buy | |
|---|---|---|---|---|
| USOIL | 82 | |||
| BTCUSD | 65 | |||
| XAUUSD | 58 | |||
| USTEC | 18 | |||
| DE30 | 1 | |||
| US30 | 1 | |||
| USDJPY | 1 | |||
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| Sembol | Brüt Kar, USD | Zarar, USD | Kar, USD | |
|---|---|---|---|---|
| USOIL | 698 | |||
| BTCUSD | 342 | |||
| XAUUSD | -116 | |||
| USTEC | 191 | |||
| DE30 | 148 | |||
| US30 | 95 | |||
| USDJPY | 250 | |||
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| Sembol | Brüt Kar, pips | Zarar, pips | Kar, pips | |
|---|---|---|---|---|
| USOIL | 9.2K | |||
| BTCUSD | 542K | |||
| XAUUSD | 16K | |||
| USTEC | 20K | |||
| DE30 | 1.3K | |||
| US30 | 250 | |||
| USDJPY | 24 | |||
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- Mevduat yükü
- Düşüş
Farklı aracı kurumların gerçek hesaplarındaki işlem gerçekleştirme istatistiklerine dayalı olarak pip cinsinden ortalama kaymalar. "Exness-MT5Real35" sunucusundan sağlayıcının fiyatları ile abonenin fiyatları arasındaki farka ve işlem gerçekleştirme gecikmelerine bağlıdır. Daha düşük değerler, daha iyi kopyalama kalitesi anlamına gelir.
Trader Sajjad Riaz – Smart Multi-Asset Execution
Welcome! Designed for investors seeking steady capital appreciation, controlled risk, and long-term compounding growth without the stress of aggressive gambling tactics.
💡 Core Trading Philosophy & Strategy
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CRT Methodology: Precision entry execution based on Accumulation, Manipulation & Distribution (CRT Concept) to trade alongside institutional order flow.
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Multi-Asset Portfolio: Broad market exposure across XAU/USD (Gold), USOIL, NAS100, Major FX Pairs (EUR/USD, GBP/USD, GBP/JPY), and BTC/USD to minimize single-asset dependency.
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Pure Technical Mastery: 100% manual, rule-based execution. No Martingale, no grid, no high-frequency scalping, and no unmanaged exposure.
📊 Signal Specifications & Targets
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Execution Style: Swing & High-Probability Day Trading.
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Target Annual Return: 80% – 130%+
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Target Monthly Return: 5% – 10% average steady growth.
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Risk Tolerance: Medium risk with strict capital safety controls.
🛡️ Risk Management & Capital Protection
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Strict Stop Loss: Every open position carries a predefined hard stop-loss to prioritize capital protection above all else.
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Controlled Drawdown: Equity protection is strictly maintained, keeping annual maximum drawdown target strictly within 20% – 30%.
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Dynamic Position Sizing: Lot sizes are scaled proportionally based on account equity and current market volatility.
👥 Investor Guidelines & Recommendations
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Recommended Equity: Minimum $500 – $1,000+ (For best results, use a Raw ECN / Zero Spread account).
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Copy Ratio: Set copy volume proportional to your account balance for exact risk replication.
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Execution Setup: A low-latency VPS is highly recommended to eliminate slippage during high-volatility news events.
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Investment Horizon: Built for long-term compound growth. Minimum recommended copying duration is 3 to 6 months.
⚠️ Risk Warning: Derivatives trading carries risk to your capital. Past performance does not guarantee future results. Only trade with risk capital you can afford to lose.