Developed and refined from 2006 to 2015, this strategy has proven its effectiveness in forward tests and real trading since February 2015. With an average monthly return exceeding 1%, supported by 12 systems across multiple currencies, this strategy aims to deliver consistent and quality results.
Key Features:
- Proven Success: Optimized and backtested from 2006 to 2015, with ongoing positive performance in forward/real tests until actual date.
- Diversification with 12 Systems: Built on the implementation of 12 systems, ensuring effective diversification and long-term stability. Each system is designed to provide consistent results, contributing to the overall performance of the strategy.
- Sustainable Profitability: Targeting an average monthly return exceeding 1%, this strategy aims to maintain stability and minimize risks, with an annual goal of achieving a 10% to 15% return.
- Quality in Every Trade: Committed to maintaining high standards of quality in each operation. The strategy focuses on precise execution and informed decision-making, backed by experience in fund management and work in financial firms.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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9.7 |
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1.0 |
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24.2 |
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-10.0 |
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4.1 |
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1.4 |
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32.8 |
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-72.3 |
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85.5 |
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117.8 |
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