abdfx123 trader's profile
Nombre | abdfx123 |
Bio:
I trade manually and never use EA, never will!
I just follow one simple method / system that so called "counting probability". I'm counting charts, not gambling.
:: Monthly Expected Return =10%
:: Annual Expected Return = 100%
:: Drawdown Risk < 20%
:: Margin Used per Trade = 2 - 5%
:: Max. Open Margin Used = 20%
I just follow one simple method / system that so called "counting probability". I'm counting charts, not gambling.
:: Monthly Expected Return =10%
:: Annual Expected Return = 100%
:: Drawdown Risk < 20%
:: Margin Used per Trade = 2 - 5%
:: Max. Open Margin Used = 20%
Estilo de trading:
I trade manually and never use EA, never will!
I just follow one simple method / system that so called "counting probability". I'm counting charts, not gambling.
:: Monthly Expected Return =10%
:: Annual Expected Return = 100%
:: Drawdown Risk < 20%
:: Margin Used per Trade = 2 - 5%
:: Max. Open Margin Used = 20%
I just follow one simple method / system that so called "counting probability". I'm counting charts, not gambling.
:: Monthly Expected Return =10%
:: Annual Expected Return = 100%
:: Drawdown Risk < 20%
:: Margin Used per Trade = 2 - 5%
:: Max. Open Margin Used = 20%
Lema:
FX
Experiencia | Más de 5 años |
Ubicación |
Patrocinadores | 0 |
Inscrito | Feb 17, 2014 at 22:32 |
Usuarios bloqueados | 0 |
Nombre | Ganancia | Disminución | Pips | Trading | Apalancamiento | Tipo |
---|---|---|---|---|---|---|
X2 Signals | -92.99% | 94.66% | -158.8 | Manual | 1:400 | Demo |
en Forex Contest OctaFX
Jun 18, 2014 at 13:44
I trade manually and never use EA, never will!
I just follow one simple method / system that so called "counting probability". I'm counting charts, not gambling.
:: Monthly Expected Return =10%
:: Annual Expected Return = 100%
:: Drawdown Risk < 20%
:: Margin Used per Trade = 2 - 5%
:: Max. Open Margin Used = 20%
I just follow one simple method / system that so called "counting probability". I'm counting charts, not gambling.
:: Monthly Expected Return =10%
:: Annual Expected Return = 100%
:: Drawdown Risk < 20%
:: Margin Used per Trade = 2 - 5%
:: Max. Open Margin Used = 20%