Achieving a remarkable 130% growth with only a 12% drawdown, my strategy focuses on consistent profitability and risk management. With a profit factor of 2 and a recovery factor of 2, I deliver sustainable returns while keeping risk exposure low. Averaging 4 trades per week, each held for approximately 4 hours, I maintain a balanced approach to capturing market opportunities. Follow me for steady growth backed by data-driven decision-making and proven results. Maximize your portfolio's potential while minimizing drawdowns.