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 Alpari-ECN1 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。
Trading with EUR USD currency pair.Trading strategy.
Two trading strategies are used:
Profit fixing using parameters.
- Market entry by the theory of «Gann square». Day chart analysis.
- Market entry by the candle analysis on H1 period, by formed turned candle figures.
- By given TakeProfit in position, from 10 to 100 points.
- Partially fixing positions that are in profit at 19:00 GMT+2 (European session is closed)
- Profit is fixed if position is in profit for more than 60 points and is in the market for 59 or more hours.
- Target intraday profit of 2%.
- Targeted 100% profit from determined date.
When «Profit target» is reached, all positions opened on account will be closed, and trade will start again. We will report through the news tab about the «Determined date EQUITY» start dates.
If there is a loss making position in the market, it will be liquidated on account of positions closed in profit. Losses are overlapped partially or momentarily, depending on the volume of gained profit in relation to volume of the loss position.
Market entry point calculation is executed by the trading system automatically. If necessary, can be corrected manually by the trader, to decrease the risks or increase the profit on opened positions.
Recommendations for copying.
- Calculate your lot volume in relation to each 400$ = 0.01 lot.
- Leverage not below 1:100. We are trading on account with 1:500 leverage, but deposit load is calculated for 1:100.
- By trading on 1:500 leverage account, you can increase lot proportions from 0.01 to 0.02 per each 400$ of deposit. Do not exceed it, as possible drawdown will be more than ours, same with profits. But you will not lose your deposit.
- Signal is transferred from PAMM account. Accordingly, account balance will be periodically changed in positive or negative, depending on the actions of investors. I recommend to use fixed lot amount in relation to your balance.
We wish you profits!!!