At this moment, pivot point is at 1.0730, and EURUSD entered since two working day ago in a bearish phase.
Positions are partially freezed (6 buy and 8 sell). I will enter the market daily several times in sell, accordingly to bearish momentum, and close daily old positions with small daily profit.
I think this is the best way to exit current DD, with monthly gain.
A correct strategy review, must consider at least two months subscription (IMHO).
I have subscribed already 1,5 months, but i am watching you since nearly 3 months....
And i really had already that much signals going down like yours now ((
For the most was the only profit the subscription fees...
But i still hope the best for you
Consider that I started this strategy in December using 5K$. At this moment, I have about 30K$. I'm in loss like you, maybe more than you. But I will recover.
You made profit before, i am not
You are getting money for it, i paid for it...
We are all in the same boat...
No ! Then just pay back your highly fees !
And i have biggest doubts, that you would rescue the account..
Unfortunately, sorry... )
I have experienced for myself and viewed it a lot: With every step you would go down a little bit more into the DD and loss
You already came down to 70% DD, so every small mistake is again 1 - 3 % more DD
Sorry, just my thoughts and what i have seen till now )))
But all the luck for you and the remaining subscribers !