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Obchodní styl
The strategy is built on a mathematical edge and probability theory. In market uncertainty, it is designed to maintain a consistent advantage of winning trades over losing ones through rigorous calculation and position management.
Strategy Logic: Entry is executed in the direction of the dominant trend during a correctional pullback. When initiating a grid, I calculate the number of pending orders (6–12), stop-loss levels, and intervals. The spacing is determined by a power function: order density increases as they get further from the current price and closer to the stop-loss. All parameters derive from the median size and velocity of the trend. Once placed, the grid remains fixed. Exits are performed according to real-time market conditions.
Risk Management:
- Capital Protection: Mandatory Stop-Loss for every position.
- Active Control: I close non-prospective trades manually with a minor loss if conditions shift, rather than waiting for a full SL.
The "Bowstring" Effect: Most cycles conclude within 1–2 trades, ensuring steady growth. During deeper pullbacks, subsequent orders with increased lots are triggered—akin to drawing a bowstring. The eventual price reversal results in a sharp profit surge, representing the "shot" of the arrow.
Investor Requirements:
- Min Balance: $500 (Cent) / $5000 (Standard/ECN).
- Leverage: 1:500 or higher.
- Note: Manual intervention is discouraged to maintain the integrity of the plan.
Strategy Logic: Entry is executed in the direction of the dominant trend during a correctional pullback. When initiating a grid, I calculate the number of pending orders (6–12), stop-loss levels, and intervals. The spacing is determined by a power function: order density increases as they get further from the current price and closer to the stop-loss. All parameters derive from the median size and velocity of the trend. Once placed, the grid remains fixed. Exits are performed according to real-time market conditions.
Risk Management:
- Capital Protection: Mandatory Stop-Loss for every position.
- Active Control: I close non-prospective trades manually with a minor loss if conditions shift, rather than waiting for a full SL.
The "Bowstring" Effect: Most cycles conclude within 1–2 trades, ensuring steady growth. During deeper pullbacks, subsequent orders with increased lots are triggered—akin to drawing a bowstring. The eventual price reversal results in a sharp profit surge, representing the "shot" of the arrow.
Investor Requirements:
- Min Balance: $500 (Cent) / $5000 (Standard/ECN).
- Leverage: 1:500 or higher.
- Note: Manual intervention is discouraged to maintain the integrity of the plan.
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