交易:
7
盈利交易:
6 (85.71%)
亏损交易:
1 (14.29%)
最好交易:
13.00 USD
最差交易:
-3.42 USD
毛利:
50.17 USD
(2 441 pips)
毛利亏损:
-3.42 USD
(171 pips)
最大连续赢利:
4 (32.22 USD)
最大连续盈利:
32.22 USD (4)
夏普比率:
1.31
交易活动:
88.55%
最大入金加载:
4.71%
最近交易:
10 几小时前
每周交易:
7
平均持有时间:
3 天
采收率:
13.67
长期交易:
7 (100.00%)
短期交易:
0 (0.00%)
利润因子:
14.67
预期回报:
6.68 USD
平均利润:
8.36 USD
平均损失:
-3.42 USD
最大连续失误:
1 (-3.42 USD)
最大连续亏损:
-3.42 USD (1)
每月增长:
6.40%
算法交易:
0%
结余跌幅:
绝对:
0.00 USD
最大值:
3.42 USD (0.64%)
相对跌幅:
结余:
0.15% (3.42 USD)
净值:
10.29% (51.46 USD)
分配
| 交易品种 | 交易 | Sell | Buy | |
|---|---|---|---|---|
| AUDUSDm | 3 | |||
| GBPUSDm | 2 | |||
| EURUSDm | 1 | |||
| USDJPYm | 1 | |||
|
1
2
3
|
1
2
3
|
1
2
3
|
| 交易品种 | 毛利, USD | 损失, USD | 利润, USD | |
|---|---|---|---|---|
| AUDUSDm | 23 | |||
| GBPUSDm | 8 | |||
| EURUSDm | 9 | |||
| USDJPYm | 6 | |||
|
5
10
15
20
25
30
|
5
10
15
20
25
30
|
5
10
15
20
25
30
|
| 交易品种 | 毛利, pips | 损失, pips | 利润, pips | |
|---|---|---|---|---|
| AUDUSDm | 1.1K | |||
| GBPUSDm | 416 | |||
| EURUSDm | 470 | |||
| USDJPYm | 246 | |||
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
|
- 入金加载
- 提取
最好交易:
+13.00
USD
最差交易:
-3
USD
最大连续赢利:
4
最大连续失误:
1
最大连续盈利:
+32.22
USD
最大连续亏损:
-3.42
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 Exness-MT5Real33 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。
无数据
Trading Strategy Introduction
With approximately 12 years of experience in the financial markets, I have witnessed many traders achieving extraordinary profits, while many others have suffered significant losses. Based on the accumulation of these experiences, market observations, collected data, and my own personal trading background, this strategy has been designed with a strong focus on controlled risk exposure, disciplined execution, and long-term account stability.
In this account, we will strictly avoid high-risk trading instruments and highly volatile market conditions. Instruments such as Gold, U.S. indices, and European indices will generally not be included in our trading activity. Instead, the primary focus of this strategy will remain on Major currency pairs, which are expected to represent approximately 70% to 80% of total positions. In selected situations, Minor currency pairs may also be considered.
Our trading decisions will be based on a combination of Technical Analysis and Fundamental Analysis. Technical evaluations will mainly be conducted on the H4 and Daily timeframes, while macroeconomic conditions, market sentiment, and important news events will also be analyzed carefully before entering any position.
The average holding period for each position is expected to remain between 6 to 7 days.
This strategy is designed for traders who prefer stable and structured portfolio management rather than aggressive speculative exposure. Historical performance over previous years has shown an average monthly return ranging between 12% and 15%. Although these returns may appear more moderate compared to aggressive systems, the primary objective is maintaining account stability and controlling drawdown levels. Under normal conditions, the expected drawdown should generally remain below 20% to 25%.
In some situations, margin utilization may temporarily increase. The reason for this is not uncontrolled exposure, but rather the strategic use of precise market entries with relatively tight Stop Loss levels and favorable Reward-to-Risk opportunities during carefully selected market conditions.
This strategy operates in a Semi-Automatic structure. Market analysis, Fundamental Analysis, news interpretation, and trade entries are performed manually by the trader, while trade management and exit execution are handled systematically by the trading robot.
Money Management, Risk Management, and Time Management principles have been implemented with a high level of precision throughout the entire strategy structure.
Because certain market opportunities may require flexible position management with relatively tight Stop Loss placement, the recommended leverage for this account is 1:500.
The strategy is also specifically designed for relatively small to medium-sized accounts. The suggested Initial Deposit is expected to remain within the range of approximately $1,500 to $2,000.
One of the core principles of this strategy is that Martingale techniques will never be used under any circumstances.
Additionally, although position sizing may occasionally appear larger than average, the overall trade structure, entry methodology, and recovery management are fundamentally different from common retail trading behavior. This is one of the reasons why the strategy is expected to maintain a strong Recovery Factor while still aiming to preserve controlled drawdown levels.
Traders who professionally evaluate and analyze the structure of this strategy will recognize that the overall objective is not high-risk speculation, but rather disciplined capital management combined with carefully selected market opportunities.
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