My portfolio focuses on agile and flexible day trading with Gold, Oil, DAX, Nasdaq, and currency pairs. By constantly analyzing market trends and short-term fluctuations, I capitalize on opportunities across various asset classes. The portfolio emphasizes high liquidity and dynamic strategies to maximize daily profits and take advantage of global market volatility. The goal: consistent, above-average returns with efficient risk management.
Date d'ouverture | Date de clôture | Symbole | Action | Lots | SL | TP | Ouvert | Clôturer | Pips | Bénéfice | Durée | Gains |
---|---|---|---|---|---|---|---|---|---|---|---|---|
-45.0 |
|
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2506.0 |
|
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66.4 |
|
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156.0 |
|
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47.1 |
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71.0 |
|
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-6.0 |
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24.4 |
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17.8 |
|
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135.9 |
|