Our techniques have proved success for a long time. During last month also, besides all those losses we managed to close the month with 5% profit. The good thing is that we always apply SL in each trade, so that we don't blow our subscribers' accounts.
We are sorry for subscribers who have recently joined us, when unfortunately we got bad trades on USDJPY. We do accept that our algorithm has not been successful for the few last trades. But no system will perform 100% all the time.
Thank you for your support and trust.
NOTE: We have just increased our signal price to sync it with all other social trading platforms.
Our Website: www.fx-managers.com
Investment in PAMM: www.fx-managers.com/invest-in-pamm
Fund Management: www.fx-managers.com/fund-management
We are using a proprietary algorithmic trading robot that uses two mathematical models:
a) Bayesian Probability Model
b) Machine Learning Algorithm
It is a complex system that take into account more than 100 variables simultaneously and that has the capacity for self-learning, minimizing the risks the longer it is used.
- On a daily basis:
a) The system runs continuously and using a simple graphical interface it tells us what is the entry price for a specific instrument (currency pair) which direction (buy or sell) and how many pips are expected to be won on that trade.
b) Separately, the system tells us what is the risk for that trade in a rank of 0 to 10. We use this rank to enter into the market with a specific volume. However, since this information is not static, but changes with ticks, sometimes we re-enter a new trade with same instrument and different or same volume, as you can see. Imagine that we BUY 0.5 lots of EUR/USD with our risk rank at 8. Then, 2 hours later the risk rank goes to 9, in that case we would had probably 0.2 or 0.3 more lots (the higher the figure, the lower the risk and more probability for the price to move in our favor).
This is how we work. We read the alarms from our algo-trading system but we introduce orders manually, to avoid any algorithmic related issue or even any kind of broker-related issue (unfortunately not so uncommon).
- Risk Management:
With regard to your capital preservation, please be aware that we have a mid-low tolerance to risk and that we have limited our system to a maximal consolidated drawdown of 20%. So far, in 7 months, which includes BREXIT and US ELECTIONS, we only had a maximal drawdown of 14.45%. Please see our MT4 terminal report. Also, the profit trade ratio is always kept at 80% or aboveall the time, as you can see. We are approaching 90% in the last couple of months.
For the floating drawdown, and only under very exceptional circumstances like BREXIT or US ELECTIONS, we allow the drawdown to go a big further, if and only if our system tells us that we are in a good scenario.
We do FUND MANAGEMENT. You can contact us for that also (email@example.com).
- About Our Trader:
We've put here all the expertise from years of experience not only in the financial industry. Our partner, Mustafa C. Boullra, who designed and implemented the algorithmic trading solution, has designed it following models and principles from aerospace, defense and telecoms. You can have a look to his background also here:
We deliver trading solutions to other Money Managers and to Brokers with our other business, MT4Software.com
Our Signal Link: https://www.simpletrader.net/signal/6221/FxManagers.html
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 FidelisCapitalMarkets-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。
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|0.11 × 70|
|0.14 × 7|
|0.20 × 20|
|0.21 × 97|
|0.21 × 62|
|0.28 × 29|
|0.38 × 24|
|0.39 × 36|
|0.56 × 25|
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|0.56 × 85|
|0.65 × 48|
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|0.74 × 47|
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|0.84 × 122|
|0.90 × 49|
|1.00 × 60|
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