FIH1 (による Ambitious)
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FIH1 討論
Jul 06, 2017 at 07:16
Jul 04, 2014からメンバー
2 投稿
We have 8 years + experience (Both Technical and Fundamental) in the online currency market.We want to use this public currency trading journal to give investors the opportunity to follow our performance and make a decision to invest their money in our online currency trading skill.
Investors are welcome for collaboration in fund management
A Brief of Our Trading Strategy
Manual trading combining technical and fundamental analysis
Adapts to any market changing condition reducing the risk of losing the investment and giving profit going forward.
Low average trade length (Time) reducing risk of staying in the market for too long.
All positions are closed at the end of the day
All positions are closed before weekend to avoid Sunday market open gap risk that can wipe our the entire account
Open positions in currency pairs relating to an upcoming major economic report are closed before the release of such report to avoid market gap risk.
Martingale, grid, averaging and other high risk trading strategies are not use.
We are looking at average 5% + monthly returns to investors after trading fees in case of fund management.
We are looking at controlling the drawdown as much as possible.
Ability to compound 5%+ monthly returns to give you 80% + returns yearly or 949% + in 4 years.
Investors are welcome for collaboration in fund management
A Brief of Our Trading Strategy
Manual trading combining technical and fundamental analysis
Adapts to any market changing condition reducing the risk of losing the investment and giving profit going forward.
Low average trade length (Time) reducing risk of staying in the market for too long.
All positions are closed at the end of the day
All positions are closed before weekend to avoid Sunday market open gap risk that can wipe our the entire account
Open positions in currency pairs relating to an upcoming major economic report are closed before the release of such report to avoid market gap risk.
Martingale, grid, averaging and other high risk trading strategies are not use.
We are looking at average 5% + monthly returns to investors after trading fees in case of fund management.
We are looking at controlling the drawdown as much as possible.
Ability to compound 5%+ monthly returns to give you 80% + returns yearly or 949% + in 4 years.
Forex portfolio building is a marathon, not a sprint race. Risk and Money management is the key.

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