A precise investment strategy aimed at steady growth, balancing risk and reward. This approach is founded on diverse asset allocation and systematic investment for consistent wealth building, without engaging in high-risk strategies like grid or martingale.
Monthly Returns: Aims for an average 2.5% monthly return, focusing on steady, sustainable growth. Drawdown: Maximum expected drawdown is around 30%, ensuring a conservative risk profile. Leverage: We advise high-leverage ECN accounts, with recommended ratios of 1:100 to 1:500, to maximize profits. Minimum Investment: Start with $1,500 or more to effectively engage in the strategy and leverage its risk diversification. Multiplier: Please ensure that the multiplier does not exceed 2, aligning with our commitment to risk management and steady growth.