Raiden has been designed to be as consistent as possible and to generate a moderate profit in all manner of markets.
The driving aim is for the account to grow in a stable fashion with no surprises, thereby allowing the handling of larger funds.
On a medium risk setting, Raiden is targeted to yield about 1% a week, 4% a month, 60% a year, with a worst case scenario at about 25% hard stop loss.
On a high risk setting, target yield is 2% a week, 8% a month, 150% a year, with worst case scenario at 50% hard stop loss. This is not used for live trading as recovery from a 50% DD will be impractical.
It trades 1-4 times a week, and typically does not go beyond 10% open position drawdown. It has multiple intelligent soft TP's and SL's with hard SL for unforeseen events like natural disasters, wars, inexplicable flash crashes, central bank interventions, etc..
For a fast market in the unfavourable direction caused by such events, the drawdown will typically be less than 25%, about 8-16%, due to speed filters kicking in.
Raiden on Alpari PAMM Account 5 Terminal: