TradeXpert

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增长自 2025 176%

订阅信号杠杆不允许超过1:500

当前下跌对订阅者来说过于危险。一旦下跌有所改善后订阅将被允许。

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  • 净值
  • 提取
交易:
736
盈利交易:
580 (78.80%)
亏损交易:
156 (21.20%)
最好交易:
302.19 USD
最差交易:
-206.71 USD
毛利:
10 324.35 USD (4 455 418 pips)
毛利亏损:
-3 023.50 USD (1 043 273 pips)
最大连续赢利:
22 (175.87 USD)
最大连续盈利:
614.46 USD (8)
夏普比率:
0.30
交易活动:
100.00%
最大入金加载:
13.86%
最近交易:
5 几分钟前
每周交易:
54
平均持有时间:
12 小时
采收率:
20.26
长期交易:
472 (64.13%)
短期交易:
264 (35.87%)
利润因子:
3.41
预期回报:
9.92 USD
平均利润:
17.80 USD
平均损失:
-19.38 USD
最大连续失误:
8 (-67.92 USD)
最大连续亏损:
-360.22 USD (2)
每月增长:
25.97%
年度预测:
315.10%
算法交易:
97%
结余跌幅:
绝对:
0.20 USD
最大值:
360.43 USD (5.62%)
相对跌幅:
结余:
4.81% (269.10 USD)
净值:
49.51% (3 463.89 USD)

分配

交易品种 交易 Sell Buy
XAUUSD+ 324
AUDCAD+ 189
BTCUSD 87
EURUSD+ 46
USOUSD 34
USDCAD+ 22
AUDUSD+ 18
EURAUD+ 10
GBPUSD+ 6
50 100 150 200 250 300 350 400
50 100 150 200 250 300 350 400
50 100 150 200 250 300 350 400
交易品种 毛利, USD 损失, USD 利润, USD
XAUUSD+ 4.5K
AUDCAD+ 1.3K
BTCUSD 820
EURUSD+ 118
USOUSD 396
USDCAD+ 53
AUDUSD+ 38
EURAUD+ 17
GBPUSD+ 40
2K 4K 6K 8K
2K 4K 6K 8K
2K 4K 6K 8K
交易品种 毛利, pips 损失, pips 利润, pips
XAUUSD+ 54K
AUDCAD+ 10K
BTCUSD 3.3M
EURUSD+ 2.8K
USOUSD 5.3K
USDCAD+ 1.7K
AUDUSD+ 556
EURAUD+ 598
GBPUSD+ 635
1M 2M 3M 4M 5M 6M
1M 2M 3M 4M 5M 6M
1M 2M 3M 4M 5M 6M
  • 入金加载
  • 提取
最好交易: +302.19 USD
最差交易: -207 USD
最大连续赢利: 8
最大连续失误: 2
最大连续盈利: +175.87 USD
最大连续亏损: -67.92 USD

基于有关不同交易商真实账户的执行统计的平均滑移点按点数指定。它取决于 VantageInternational-Live 5 提供商以及订阅者之间不同的报价,以及订单执行的延迟。值越低意味着复制的质量越高。

FusionMarkets-Live
0.00 × 41
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I have been a Forex trader for over 10 years, operating consistently across the major currency markets. Throughout this period, I have developed and refined a proprietary strategy based on strict risk management, disciplined drawdown control, and diversification across multiple currency pairs.

The strategy is applied simultaneously across various instruments, reducing dependency on a single market and smoothing overall performance. This multi-currency approach allows me to capture opportunities under different market conditions — trends, consolidations, and reversals — while maintaining balanced and controlled exposure.

The primary focus is not only on generating profit, but on preserving capital. To achieve this, the strategy follows clear rules regarding:

  • Risk-adjusted position sizing

  • Dynamic exposure control

  • Strict drawdown limits monitored in real time

  • Active trade management, adapting to market evolution

Returns are consistent and sustainable, avoiding excessive leverage or aggressive trading behavior. Each trade represents only a small fraction of total capital, ensuring long-term durability even during unfavorable market conditions.

The strategy also incorporates continuous statistical monitoring, analyzing performance by period, drawdown behavior, asset efficiency, and equity curve stability. All strategic adjustments are data-driven and free from emotional decision-making.


没有评论
2026.03.09 22:15
High current drawdown in 33% indicates the absence of risk limitation
2026.03.09 21:13
High current drawdown in 32% indicates the absence of risk limitation
2026.03.09 20:13
High current drawdown in 31% indicates the absence of risk limitation
2026.03.05 19:09
No swaps are charged on the signal account
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