***** (Any new update/adjustment from the previous summary will be informed first in NEW UPDATE) ***** NEW UPDATE : Now Hit monthly target 12.97% for Jan 2025 with Max DD 6.51% and will resume trading from Monday 3rd Feb next week) (31st Jan 2025)
Summary: * Monthly target profit : 10% to 15%. * Fixed Lot size per capital : 250 USD with 0.01 lot size. (500:0.02 and so on) * Account Leverage recommended : 1:100 is more than enough. * Simultaneously Trading pairs : 2 Pairs (once a while 3) * Current Max Drawdown : 6.51 % * Drawdown / balance protection : Always below 20% target ** If you are conservative, use Capital 500$ with lotsize 0.01 for Max drawdown less than 10%. ** There are always SL and TP. Mostly, they are virtual to hide from Brokers. ** No use of any dangerous strategy that leads to blowing up your account. ** Max of 4 positions (total lot size = 0.05) for one pair and will be closed as basket. ==== Watch the risk management and result in percentage, not the $ in account and copy it at your own comfort! ==== Thank you!