Expectations: On average 5% monthly return of investment.
Trading Strategy: Volatility Breakout and Trend Trading
Risk- and Moneymanagement: -Trend Trading for EURJPY, EURUSD, GBPJPY, GBPUSD, USDJPY with 0,12 lot -The cash-cow with excellent results since 2010 we trade with a variable lot size depends of the equity (1Lot for 15.000,- Euro)
Trading Hours: all sessions
Trade Quantity: On average NEXTGEN performs 100 to 150 trades per month.
Holding Time of trades: Depends on the volatility and the trend power between few hours and some days. To reduce risks: Usally there are no open trades over the weekend.
Drawdown: Maximum Drawdown before our adjustments in February 2018: 45%. We don`t expect higher drawdowns with the system adjustments. To safe our the trading capital is our most important aim. As you can see, every trade is secure with a visible stopp loss. The real TP and SL depends from the market conditions and volatility
For further information take a look into our SIGNALFAQ.
If you have any questions don't hesitate to contact us.