Perfil

Estilo de negociação
My strategy is buying dips and sell rally . I use multi time frame candle analysis from m5 up to monthly candle to determine direction and entry. M5 and M15 timeframes are for optimizing stop loss and higher time frame candles , h4 to D1 candles are for optimizing exit.

My position sizing is 5% per trade for setups that is at least have 1:3 reward ratio with break even system and multiple entries and exits.
As for 1:1 and 1:2 risk reward ratio my position sizing vary from 1.5 up to 2%

My monthly target is 35 % ROI . I only trade for best setups and apply strict money management and drawdown system. Once my drawdown for a given month reach 20%, I stop trading completely no matter what.
Lema
All is well and getting better :)

Systems by lifeisawesome

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