КОПИ-счет AscendPro № 869359 брокера LiteForex

КОПИ-счет счет

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AscendPro
Strategy is based on trend indicators. Positions are opened on sup/ress levels and formations of 5 min. I always use 10% of balance (investment), for example, balance = 1000$, so lots for trade = 0,2 lots.(Leverage 1:200) Use "in proportion to my funds" copy mode - there is risk management, so in every open position your risk is not more 2% (5%high volatility cases)of investment.I use trailing stop loss, pending orders, stoploss is 10-20 pips, take profit is 100 pips.
i 869359 0 4 г
4 м
0.21
−0.21
0.00 0 %
17 %

> 0 k$
−100 %
−100 %
> 0 k$ 1 > 0 k$
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Трейдер

AscendPro

Место в рейтинге трейдеров: 5131
Описание КОПИ-счета AscendPro

Strategy is based on trend indicators. Positions are opened on sup/ress levels and formations of 5 min. I always use 10% of balance (investment), for example, balance = 1000$, so lots for trade = 0,2 lots.(Leverage 1:200) Use "in proportion to my funds" copy mode - there is risk management, so in every open position your risk is not more 2% (5%high volatility cases)of investment.I use trailing stop loss, pending orders, stoploss is 10-20 pips, take profit is 100 pips. показать историю изменений

Strategy is based on trend indicators. Positions are opened on sup/ress levels and formations of 5 min. I always use 10% of balance (investment), for example, balance = 1000$, so lots for trade = 0,2 lots.(Leverage 1:200) Use "in proportion to my funds" copy mode - there is risk management, so in every open position your risk is not more 2% (5%high volatility cases)of investment.I use trailing stop loss, pending orders, stoploss is not more then 10 pips, take profit is 100 pips.

до 27.05.2020

Strategy is based on trend indicators. Positions are opened on sup/ress levels and formations of 5 min. I always use 10% of balance (investment), for example, balance = 1000$, so lots for trade = 0,2 lots.(Leverage 1:200) Use "in proportion to my funds" copy mode - there is risk management, so in every open position your risk is not more 2% (5%high volatility cases)of investment.I use trailing stop loss, pending orders, stoploss is not more then 10 pips, take profit is 100 pips. Drawdown 28.7%

до 13.05.2020

Strategy is based on trend indicators. Positions are opened on sup/ress levels and formations of 5 min. I always use 10% of balance (investment), for example, balance = 1000$, so lots for trade = 0,2 lots.(Leverage 1:200) Use "in proportion to my funds" copy mode - there is risk management, so in every open position your risk is not more 2% of investment.I use trailing stop loss, pending orders, stoploss is not more then 10 pips, take profit is 100 pips. Drawdown 19.06%

до 24.03.2020

Strategy is based on trend indicators. Positions are opened on sup/ress levels and formations of 5 min. I always use 10% of balance (investment), for example, balance = 1000$, so lots for trade = 0,2 lots.(Leverage 1:200) Use "in proportion to my funds" copy mode - there is risk management, so in every open position your risk is not more 2% of investment.I use trailing stop loss, pending orders, stoploss is not more then 10 pips, take profit is 100 pips.

до 03.03.2020

Strategy is based on trend indicators. Positions are opened on sup/ress levels and formations of 5 min. I always use 10% of balance (investment), for example, balance = 1000$, so lots for trade = 0,2 lots.(Leverage 1:200) Use "in proportion to my funds" copy mode - there is risk management, so in every open position your risk is not more 2% of investment.I use trailing stop loss, pending orders, stoploss is not more then 10 pips, take profit is 100 pips, Expected Drawdown is not more then 35%.

до 25.02.2020

Dear investors!
My strategy is based on trend following indicators. Positions are opened on support/ressistance levels and price formations of lower time frames. I always use 20% of balance (investment), for example, balance = 1000$, then lots to trade = 0,2 lots. I use risk management, so in every open position your risk is not more 2% of investment. I use trailing stop loss, pending orders, stoploss is not more then 10 pips, take profit is 100 pips, Expected Drawdown is not more then 35%.

до 19.02.2020

Dear investors!
My strategy is based on trend following indicators. Positions are opened on support /ressistance levels and price formations of lower time frames. I always use 20% of balance (investment), for example, balance = 1000$, then lots to trade = 0,2 lots. I always use risk management, so in every open position your risk is not more then 2% of investment. I use pending orders, stop loss is not more then 10 pips, take profit is 100 pips, I use trailing stop loss.

до 29.01.2020

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