MagicMartin (에 의해 MagicMartingail)
: 게인 | +201.94% |
드로다운 | 28.94% |
핍스: | 39599.3 |
거래 | 22755 |
원 : |
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손실: |
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: 종류 | 리얼 |
레버리지: | 1:100 |
거래 : | 알려지지 않음 |
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MagicMartin 토론
Dec 07, 2016 부터 멤버
게시물21
Mar 28, 2017 at 06:29
Dec 07, 2016 부터 멤버
게시물21
Copy strategy on SignalStart - https://www.signalstart.com/analysis/magicmartin/20035
STRATEGY.
This trading system has passed a long way of testing and optimization - over 2 years it has been changing and improving. When the desired flexibility, stability on volatility with acceptable risks and profitability was achieved, the strategy was opened to potential investors.
It based on well-known principles as grid and martingale - I specifically focus on this, so that every subscriber and investor understand all the risks that are possible - and made a weighted decision.
But this is not just a well-known strategy - it gathers the best practices of money management. A mechanism of reducing risks has been developed - we all know that risk management is the most important thing in trading.
Before using the signal on a real account - I recommend to test it beforehand and make sure it suits you.
PARAMETERS OF THE SYSTEM.
- Always in the market.
- Trade is conducted in both directions simultaneously.
- Before important macroeconomic events, news, there is a reduction in risks and 'presence' in the market as much as possible.
- Working drawdown is up to 10%.
- When the drawdown reaches 15-20%, partial or complete fixation of losses occurs.
- Trading is on real account, with quite big capital - as a guarantee of careful management.
COMMUNICATION.
I know how important it is for a subscriber and an investor to know what is happening
on the signal or to receive advice how better to use the signal.
You can always contact by e-mail or Skype - [email protected] .
GOAL.
The purpose of the publication of the signal is to establish a long-term mutually beneficial cooperation with investors. Not only within this signal.
STRATEGY.
This trading system has passed a long way of testing and optimization - over 2 years it has been changing and improving. When the desired flexibility, stability on volatility with acceptable risks and profitability was achieved, the strategy was opened to potential investors.
It based on well-known principles as grid and martingale - I specifically focus on this, so that every subscriber and investor understand all the risks that are possible - and made a weighted decision.
But this is not just a well-known strategy - it gathers the best practices of money management. A mechanism of reducing risks has been developed - we all know that risk management is the most important thing in trading.
Before using the signal on a real account - I recommend to test it beforehand and make sure it suits you.
PARAMETERS OF THE SYSTEM.
- Always in the market.
- Trade is conducted in both directions simultaneously.
- Before important macroeconomic events, news, there is a reduction in risks and 'presence' in the market as much as possible.
- Working drawdown is up to 10%.
- When the drawdown reaches 15-20%, partial or complete fixation of losses occurs.
- Trading is on real account, with quite big capital - as a guarantee of careful management.
COMMUNICATION.
I know how important it is for a subscriber and an investor to know what is happening
on the signal or to receive advice how better to use the signal.
You can always contact by e-mail or Skype - [email protected] .
GOAL.
The purpose of the publication of the signal is to establish a long-term mutually beneficial cooperation with investors. Not only within this signal.
Power is nothing without control
Dec 07, 2016 부터 멤버
게시물21
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