- Equity
- Drawdown
Distribution
Symbol | Deals | Sell | Buy | |
---|---|---|---|---|
USDJPYzero | 44 | |||
NAS100 | 15 | |||
EURUSDzero | 15 | |||
TWUSD | 13 | |||
AUDUSDzero | 12 | |||
JP225 | 10 | |||
GER30 | 6 | |||
UK100 | 6 | |||
STOXX50 | 6 | |||
XAUUSDzero | 5 | |||
AU200 | 5 | |||
USWTIzero | 3 | |||
US2000 | 3 | |||
USDIndex | 2 | |||
AUDJPYzero | 2 | |||
EURJPYzero | 2 | |||
EURAUDzero | 1 | |||
HK50 | 1 | |||
10
20
30
40
50
|
10
20
30
40
50
|
10
20
30
40
50
|
Symbol | Gross Profit, USD | Loss, USD | Profit, USD | |
---|---|---|---|---|
USDJPYzero | -21 | |||
NAS100 | 14 | |||
EURUSDzero | 6 | |||
TWUSD | 0 | |||
AUDUSDzero | 5 | |||
JP225 | 1 | |||
GER30 | 6 | |||
UK100 | -4 | |||
STOXX50 | -3 | |||
XAUUSDzero | 13 | |||
AU200 | 3 | |||
USWTIzero | -14 | |||
US2000 | -3 | |||
USDIndex | 3 | |||
AUDJPYzero | -4 | |||
EURJPYzero | -5 | |||
EURAUDzero | 2 | |||
HK50 | -3 | |||
25
50
75
100
125
150
175
200
|
25
50
75
100
125
150
175
200
|
25
50
75
100
125
150
175
200
|
Symbol | Gross Profit, pips | Loss, pips | Profit, pips | |
---|---|---|---|---|
USDJPYzero | -2.8K | |||
NAS100 | 70K | |||
EURUSDzero | 667 | |||
TWUSD | -2.5K | |||
AUDUSDzero | 579 | |||
JP225 | -15K | |||
GER30 | 32K | |||
UK100 | -152 | |||
STOXX50 | -2K | |||
XAUUSDzero | 1.3K | |||
AU200 | 7.8K | |||
USWTIzero | -1.4K | |||
US2000 | -4.5K | |||
USDIndex | 340 | |||
AUDJPYzero | -533 | |||
EURJPYzero | -765 | |||
EURAUDzero | 307 | |||
HK50 | -22K | |||
25K
50K
75K
100K
125K
150K
175K
200K
|
25K
50K
75K
100K
125K
150K
175K
200K
|
25K
50K
75K
100K
125K
150K
175K
200K
|
- Deposit load
- Drawdown
The average slippage based on execution statistics on real accounts of various brokers is specified in pips. It depends on the difference between the provider's quotes from "ACYFX-Live" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.
Trend is my friend. I judge the market purely based on technical analysis and formulate plans to balance potential profits and investment risks through multi-instruments, multi-time frames, and multi-strategies.
Absolutely not using the Martingale money management method. A stop loss will be set for each trade, and the risk control for each trade will be between 0.15% and 0.5%. The setting of this signal is expected to bring a return of 10-15% per year, with potential drawdown not exceeding 10%.