Advertisement
檔案
個人簡歷
Forex Trader and system developer.
On forex market since 2009.
The main tactic is a reasonable risk management.
Market involves the main risks:
1.Market(losses,drawdowns,gaps,"flash crashes"
2.Non Market(bankruptcy of Broker,scam Broker)
That's why if we risk 1$-best reward is 10$.(risk:reward ratio)
And high profit factor of trade system is reasonable(more than 2.0)
On forex market since 2009.
The main tactic is a reasonable risk management.
Market involves the main risks:
1.Market(losses,drawdowns,gaps,"flash crashes"
2.Non Market(bankruptcy of Broker,scam Broker)
That's why if we risk 1$-best reward is 10$.(risk:reward ratio)
And high profit factor of trade system is reasonable(more than 2.0)
交易風格
In trading used channel and retracement trade according to the trend.Also trend following.
Used strong StopLoss and TakeProfit levels.
Risk Management is Aggressive.
Used strong StopLoss and TakeProfit levels.
Risk Management is Aggressive.
格言
Trade strong.Trade Brave.Market will reward
Systems by Kruz30
最近的帖子
632
Jan 10, 2014 at 20:51
632
Jan 10, 2014 at 20:50
632
Jan 10, 2014 at 12:02
60000
Jun 04, 2012 at 04:28
60000
Jun 03, 2012 at 19:43