ПАММ-счет A0-HEDGE № 345423 брокера Alpari

ПАММ-счет счет

убыток
инв. возр. нед. доход
за год
мин.
сумма
дох-ть торг.
рез-т
макс.
убыток
текущая неделя СУ доля
СУ
СИ
макс.
мин.
ср. доход открытые
сделки
A0-HEDGE
Low Risk MM
i 345423 $ 849 3 г
11 м
14.69
−20.16
−0.21 50$ −19 %
1096 %
−58 k$
84 k$
−48 %
−48 %
-15.22 -12.81
18 мин.
6 k$ -0.9 k$
18 мин.
4 124 k$ -21 k$
18 мин.
страница ПАММ-счета на сайте брокера обсуждение: forum.alpari
AG-HEDGE
-- GLD -- HEDGE
i 374020 GLD 23 2 г
10 м
71.16
−69.41
1.11 50GLD
75$
−51 %
97 %
−3.8 k$
6 k$
−91 %
−91 %
-9.38 -9.63
18 мин.
1.1 k$ -0.1 k$
18 мин.
36 2 k$
AR-HEDGE
-- RUR -- HEDGE
i 374052 75 2 г
10 м
60.93
−80.11
0.67 3000₽
46$
−82 %
−63 %
−15 k$
−4.5 k$
−98 %
−98 %
-40.66 -37.99
16 мин.
0.2 k$ -0.1 k$
16 мин.
9 2 k$ -1.2 k$
16 мин.
A1-HEDGE
Medium Risk MM
i 367376 $ 115 3 г
1 м
35.86
−35.28
0.24 50$ −29 %
165 %
−17 k$
14 k$
−75 %
−75 %
-26.66 -21.71
18 мин.
1.7 k$ -0.5 k$
18 мин.
7 22 k$ -8 k$
18 мин.
A2-HEDGE
High Risk MM
i 438101 $ 6 м
2019
50$ −98 %
−98 %
−8 k$
−8 k$
−100 %
−100 %
TANUKI
Correlation testing
i 399975 $ 7 м
2018

156 %

0.9 k$

−18 %
Tamonten
Experimental non-invest
i 398782 $ 8 м
2018

29 %

0.4 k$

−34 %
HEDGE
i 331778 6 м
2015

−44 %

−0.5 k$

−87 %
Z-HEDGE
i 345268 $ 0 м
2015

−100 %

−1 k$

−100 %
D-HEDGE
i 345004 0 м
2015

−100 %

−1.4 k$

−100 %
C-HEDGE
i 345003 $ 0 м
2015

−100 %

−1.4 k$

−100 %
Carry Hedge
i 341876 1 м
2015

−56 %

−1.7 k$

−67 %
B-HEDGE
i 343783 GLD 0 м
2015

−100 %

−2.5 k$

−100 %
Upstairs-O
i 328631 1 м
2015

−71 %

−3.2 k$

−81 %
A-HEDGE
i 342931 1 м
2015

−98 %

−3.6 k$

−99 %
Upstairs-D
i 328672 $ 1 м
2015

−89 %

−4.4 k$

−97 %
N-HEDGE
i 345288 $ 5 м
2016

−100 %

−4.5 k$

−100 %
Upstairs
i 326817 $ 2 м
2015

−100 %

−5 k$

−100 %
R-HEDGE
RUR
i 347953 3 м
2016

−100 %

−11 k$

−100 %
Суммарно по всем 19 счетам
трейдера 大胆なタカ
1062 4 г
9 м
−104 k$
51 k$
9 k$ 5 150 k$
Трейдер

大胆なタカ

Место в рейтинге трейдеров: 11205
Описание ПАММ-счета A0-HEDGE

Low Risk MM показать историю изменений

Long-Term Diversification

до 07.02.2019

Low Risk

до 07.02.2019

Low Risk MM

до 07.02.2019

Long-Term Diversification

до 07.02.2019

I am in trading since 2005, with Alpari since 2007.
I have two higher educations in computer science (programming) and financial management (both are master's degree).
Over the years, I've developed and used an array of hedging strategies for trading on different markets.
For hedging I use a lot of trade instruments (currencies, oil, etc). For example, 24 instruments are used at the moment.
The majority of deals are based on strong levels (Support&Resistance), channels and long-term fundamental analysis.
I don't use any agressive methods in my trading. Many positions are gained gradually regardless of their start (initial profit or loss). So I am always in the market with multiple hedging deals having various risk. The cumulative risk you can see on the Trading page and Declaration. I don't use a large leverage. Diversification is my preference.
I always use stops in my trading, such as SL for every order and TP for almost every order (except very long-term orders).
All my current accounts (A0, A1, AG, AR) use the same strategies but different currencies of the deposits. However there are some different instruments and varied trading intervals for compensation at these accounts.
.
I really appreciate my long-term and permanent investors.
So I've decided to give 5% bonuses for all investors who opened their acting investment accounts more than 1 year ago and 10% for more than 2 year ago.
This offer is valid also for all investors when their investment accounts reach 1 year old (and +5% for every year in the future). Write me please about it.
.
I hope together we head towards new heights.
.
Sincerely,
Brave Hawk

I am in trading since 2005, with Alpari since 2007.
I have two higher educations in computer science (programming) and financial management (both are master's degree).
Over the years, I've developed and used an array of hedging strategies for trading on different markets.
For hedging I use a lot of trade instruments (currencies, oil, etc). For example, 24 instruments are used at the moment.
The majority of deals are based on strong levels (Support&Resistance), channels and long-term fundamental analysis.
I don't use any agressive methods in my trading. Many positions are gained gradually regardless of their start (initial profit or loss). So I am always in the market with multiple hedging deals having various risk. The cumulative risk you can see on the Trading page and Declaration. I don't use a large leverage. Diversification is my preference.
I always use stops in my trading, such as SL for every order and TP for almost every order (except very long-term orders).
All my current accounts (A0, A1, AG, AR) use the same strategies but different currencies of the deposits. However there are some different instruments and varied trading intervals for compensation at these accounts.
.
I really appreciate my long-term and permanent investors.
So I've decided to give 5% bonuses for all investors who opened their acting investment accounts more than 1 year ago and 10% for more than 2 year ago.
This offer is valid also for all investors when their investment accounts reach 1 year old (and +5% for every year in the future). Write me please about it.
.
I hope together we head towards new heights.
.
Sincerely,
Brave Hawk

График недельной доходности

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