交易:
5
盈利交易:
5 (100.00%)
亏损交易:
0 (0.00%)
最好交易:
63.32 USD
最差交易:
0.00 USD
毛利:
115.23 USD
(11 185 pips)
毛利亏损:
0.00 USD
最大连续赢利:
5 (115.23 USD)
最大连续盈利:
115.23 USD (5)
夏普比率:
0.94
交易活动:
100.00%
最大入金加载:
1.24%
最近交易:
11 几小时前
每周交易:
5
平均持有时间:
6 小时
采收率:
0.00
长期交易:
4 (80.00%)
短期交易:
1 (20.00%)
利润因子:
n/a
预期回报:
23.05 USD
平均利润:
23.05 USD
平均损失:
0.00 USD
最大连续失误:
0 (0.00 USD)
最大连续亏损:
0.00 USD (0)
每月增长:
11.52%
算法交易:
0%
结余跌幅:
绝对:
0.00 USD
最大值:
0.00 USD (0.00%)
相对跌幅:
结余:
0.00% (0.00 USD)
净值:
0.00% (0.00 USD)
分配
| 交易品种 | 交易 | Sell | Buy | |
|---|---|---|---|---|
| XAUUSD | 2 | |||
| AUDUSD | 1 | |||
| GBPUSD | 1 | |||
| USDJPY | 1 | |||
|
1
2
|
1
2
|
1
2
|
| 交易品种 | 毛利, USD | 损失, USD | 利润, USD | |
|---|---|---|---|---|
| XAUUSD | 104 | |||
| AUDUSD | 4 | |||
| GBPUSD | 4 | |||
| USDJPY | 3 | |||
|
25
50
75
100
125
150
175
200
|
25
50
75
100
125
150
175
200
|
25
50
75
100
125
150
175
200
|
| 交易品种 | 毛利, pips | 损失, pips | 利润, pips | |
|---|---|---|---|---|
| XAUUSD | 10K | |||
| AUDUSD | 137 | |||
| GBPUSD | 433 | |||
| USDJPY | 234 | |||
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
|
2.5K
5K
7.5K
10K
13K
15K
18K
20K
|
- 入金加载
- 提取
最好交易:
+63.32
USD
最差交易:
-0
USD
最大连续赢利:
5
最大连续失误:
0
最大连续盈利:
+115.23
USD
最大连续亏损:
-0.00
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 Tickmill-Live 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。
|
GFXSecurities-GFXSECURITIES
|
0.00 × 2 | |
|
CapitalPointTrading-MT5-4
|
0.00 × 2 | |
|
ICMarketsSC-MT5-6
|
0.00 × 1 | |
|
VantageInternational-Live 4
|
0.00 × 1 | |
|
Exness-MT5Real12
|
0.00 × 1 | |
|
FusionMarkets-Live
|
0.00 × 3 | |
|
FOREX.comCA-Live 532
|
0.00 × 1 | |
|
ICMarkets-MT5
|
0.33 × 3 | |
|
TickmillEU-Live
|
0.50 × 4 | |
|
itexsys-Platform
|
1.00 × 1 | |
|
OxSecurities-Live
|
1.00 × 2 | |
|
Exness-MT5Real8
|
1.37 × 172 | |
|
VTMarkets-Live
|
1.50 × 2 | |
|
Exness-MT5Real7
|
1.67 × 3 | |
|
FxPro-MT5 Live02
|
1.75 × 20 | |
|
DooTechnology-Live
|
1.79 × 48 | |
|
RHCInvestments-Metadoro
|
1.80 × 10 | |
|
DerivSVG-Server
|
2.00 × 1 | |
|
GoMarkets-Live
|
2.06 × 86 | |
|
ICMarketsSC-MT5
|
2.12 × 225 | |
|
Tickmill-Live
|
2.18 × 18226 | |
|
VantageInternational-Live 8
|
2.25 × 4 | |
|
Aglobe-Live
|
2.40 × 5 | |
|
ICMarketsSC-MT5-2
|
2.60 × 1322 | |
|
Pepperstone-MT5-Live01
|
2.79 × 19 | |
Professional Forex Trader & Signal Provider
With more than 10 years of experience in the Forex market and brokerage industry, I have developed a deep understanding of market behavior, liquidity flows, and the operational dynamics of retail brokers. This background allows me to effectively identify market traps, avoid high-risk environments, and dynamically adapt trading decisions to changing market conditions.
My trading approach is anchored in strict risk management, low drawdown, and continuous market analysis. A proprietary, software-based hidden stop-loss system is integrated into the strategy to enhance risk control and protect trading positions from unexpected market events.
The strategy focuses on achieving a high recovery factor while maintaining very low overall risk exposure. Rather than chasing short-term market excitement, I prioritize disciplined execution, dynamic adaptation to fresh market data, and the absolute avoidance of emotional or highly speculative trading environments.
Key Features:
Over 10 years of professional Forex and brokerage industry experience.
Advanced understanding of broker-side practices and market execution dynamics.
Proprietary hidden stop-loss management system.
Utilization of advanced correlation strategies for precise position selection and directional bias.
Dual-approach capability, effectively employing both bullish and bearish strategies.
High recovery factor coupled with low-risk portfolio management.
Low-drawdown strategy engineered for long-term capital preservation.
Continuous adaptation to evolving market environments.
Smart Liquidity Management: Refraining from entering new positions or timely exiting current ones during periods of low market liquidity.
Entering Gold (XAU) positions with ultra-low volume/lot size solely to optimize account data metrics.
Avoidance of high-volatility spikes and emotionally driven market traps.
Average position holding period: 4–7 days.
Minimum trading activity: approximately 3 positions per week.
Targeting consistent performance through disciplined, risk-adjusted trading.
Recommended Capital & Copy-Trading Potential:
Minimum recommended copy investment: USD 1,000.
Optimized for larger portfolios: Highly suitable for accounts above USD 20,000 due to the strategy's low drawdown characteristics and high capital efficiency.
Volume Multiplier Opportunity: Due to the tight stop-loss (SL) and relatively high average take-profit (TP) ratios, investors using advanced copy-trading platforms can safely scale up allocation, even copying at double (2x) the trader's volume on selected instruments.
Performance Objective:
The strategy aims for consistent and sustainable growth, with a historical target of approximately 6% average monthly return under normal market conditions. Actual results may vary depending on the market environment and individual risk settings.
Institutional & Investor Relations:
I am fully open to working with professional investors and institutional-level clients. Partnership opportunities, including customized trader-investor cooperation structures, can be discussed and considered for qualified capital providers.
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