Ex-institutional J.P. Morgan fixed income and FX trader
Mean reversion commodity FX Strategy with a conservative martingale (max 3x).
Daily time frame
Drawdown: Max. first year DD target 30-50%. Will decrease by 1/4 every year since it is a fixed lot size strategy.
Return: Approx 50% per year.
Your broker must have the currency pairs AUDNOK, NZDNOK and CADNOK
Preferably a leverage of at least 1:100, 1:500 is best.
The strategy is mixed quantitative technical and manual fundamental
Eröffnungsdatum | Abschlussdatum | Symbol | Aktion | Viel | SL | TP | Öffnen | Schliessen | Pips | Gewinn | Dauer | Gewinn |
---|---|---|---|---|---|---|---|---|---|---|---|---|
- |
|
|||||||||||
4.2 |
|
|||||||||||
4.9 |
|
|||||||||||
- |
|
|||||||||||
3.0 |
|
|||||||||||
0.0 |
|
|||||||||||
- |
|
|||||||||||
3.0 |
|
|||||||||||
1.0 |
|
|||||||||||
- |
|