Kształtownik

Biografia
Focusing on capital preservation and systematic execution in the FX and Commodities markets. My approach is purely data-driven, utilizing low-latency infrastructure to capture medium-term market inefficiencies. I prioritize transparency and verified performance over high-risk gains.
Styl handlowy
Risk Management: 1-2% per trade, strictly enforced Hard Stop-Losses.
Timeframe: H1 and H4 for primary signals; M15 for execution entries.
Tools: Custom EAs for trade management; VPS-hosted for 99.9% uptime.

Systems by EthanW5

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