NCM Conservative (由 icmfund)
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NCM Conservative讨论
Apr 12, 2021 at 13:16
会员从Oct 27, 2017开始
126帖子
Steve24 posted:The strategy requires a higher leverage than 1:30. Depending on where you are from you may still be able to use ICMarkets. If you are an Australian resident then you will probably have to qualify as a Pro Trader to get the higher leverage.
Does your strategy work on icmarket anymore?
If you aim at nothing you will hit it every time.
Apr 19, 2021 at 15:03
会员从Oct 27, 2017开始
126帖子
Buchnaci posted:If you pay for 2 subscriptions, one for each account, that should be possible.
is it possible to have 2 trading accounts by 1 subs under 1 IC markets registration via your link ? to try 100% and 200% risk managment ?
If you aim at nothing you will hit it every time.
Apr 20, 2021 at 06:41
会员从Jun 26, 2018开始
20帖子
kobistop posted:
NCM Conservative become more conservative..... halving the lot size (last 2 closed transaction)
it better from the perspective of risk but worse from return perspective....
Look at yesterday’s movement on GBPCAD. I think this is the reason why they reduced the position size.
Mobilis in Mobile
Apr 20, 2021 at 07:26
会员从Mar 26, 2021开始
9帖子
ikkoku posted:could be, the price was extremely rising yesterday, more around 2500 pips 1 day. usually 1200 -1700 pips.kobistop posted:
NCM Conservative become more conservative..... halving the lot size (last 2 closed transaction)
it better from the perspective of risk but worse from return perspective....
Look at yesterday’s movement on GBPCAD. I think this is the reason why they reduced the position size.
if the volatility increase, it is safer to reduce the pip.
会员从Jan 02, 2015开始
14帖子
May 04, 2021 at 14:29
会员从Mar 26, 2021开始
9帖子
Calum147 posted:You are correct. It is Martin’s answerkobistop posted:It was a bank holiday in the UK. Not sure if that affects their trading but it's a possibility
Hello Guys.... no trade yesterday?
Is there always no transaction on the first day of the month?
May 14, 2021 at 08:00
会员从May 14, 2021开始
12帖子
Can anyone explain how DD/Risk works in simple terms on NCM?
What I see is that for each trade NCM commits eg 2% of funds, no stop loss.
What variable does max risk adjust?
What variable does DD% adjust?
Coming from leveraging trading crypto I assume this is just for the lot sizes traded?
Or am I wrong, is the non traded balance exposed too somehow? *confused*
What I see is that for each trade NCM commits eg 2% of funds, no stop loss.
What variable does max risk adjust?
What variable does DD% adjust?
Coming from leveraging trading crypto I assume this is just for the lot sizes traded?
Or am I wrong, is the non traded balance exposed too somehow? *confused*
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