Bio
I'm trading since 2008, mainly on FOREX but also with CFDs. My first year was quite tough - the financial crisis of 2008. I was trading Indices then so you can imagine what was the result. It took me about 2 years to break even after the crash and I'm profitable since then. As far as educational background.
I grduated in 2011 with a degree in Economics. I have also masters in Financial markets. My education helped me to understand better the fundamentals and the risk management. My experience in the last several years helped me for the phychological side of trading and dealing with the stress from drawdowns. Now I am using both theoretical and practical knowledge in order to produce attractive profits with relatively low drawdowns to the subscribers.
I am managind also MAM and MAC accounts trough Admiral Markets.
Estilo de trading
I am trading manualy on 4h and D1 timeframes. Sometimes I scalp on lower timeframes in overbought/oversold situations, but always following the bigger trend when doing so. You will not see me trying to catch bottoms or tops.
Most of the positions are from several days to week or two. I am targeting 200-300 pips with 120-150 pips stop loss. For these i use both technical and fundamental analysis.
Lema
Focus on how much you can loose before thinking about how much you can win.

Gráfico

Systems by PFInvestments

Nombre Ganancia Disminución Pips Trading Apalancamiento Tipo
MidTermProfit -66.49% 94.43% -6932.2 Manual 1:100 Real

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