- Equità
- Drawdown
Distribuzione
Simbolo | Operazioni | Sell | Buy | |
---|---|---|---|---|
XAUUSD | 90 | |||
NZDUSD | 5 | |||
EURCAD | 4 | |||
USDCAD | 3 | |||
XTIUSD | 3 | |||
CADJPY | 3 | |||
AUDUSD | 3 | |||
GBPJPY | 2 | |||
AUDNZD | 2 | |||
CADCHF | 2 | |||
NDXUSD | 2 | |||
EURGBP | 2 | |||
EURJPY | 1 | |||
GBPNZD | 1 | |||
EURNZD | 1 | |||
EURUSD | 1 | |||
NZDCHF | 1 | |||
AUDCHF | 1 | |||
GEREUR | 1 | |||
NZDCAD | 1 | |||
AUDCAD | 1 | |||
GBPAUD | 1 | |||
20
40
60
80
|
20
40
60
80
|
20
40
60
80
|
Simbolo | Profitto lordo, USD | Perdita, USD | Profitto, USD | |
---|---|---|---|---|
XAUUSD | 1.3K | |||
NZDUSD | -44 | |||
EURCAD | -23 | |||
USDCAD | -32 | |||
XTIUSD | -84 | |||
CADJPY | -17 | |||
AUDUSD | -81 | |||
GBPJPY | 0 | |||
AUDNZD | 10 | |||
CADCHF | 29 | |||
NDXUSD | -84 | |||
EURGBP | -53 | |||
EURJPY | 0 | |||
GBPNZD | -6 | |||
EURNZD | 0 | |||
EURUSD | 0 | |||
NZDCHF | -1 | |||
AUDCHF | 0 | |||
GEREUR | -16 | |||
NZDCAD | -7 | |||
AUDCAD | -42 | |||
GBPAUD | 4 | |||
250
500
750
1K
1.3K
1.5K
1.8K
2K
2.3K
2.5K
2.8K
3K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
2.3K
2.5K
2.8K
3K
|
250
500
750
1K
1.3K
1.5K
1.8K
2K
2.3K
2.5K
2.8K
3K
|
Simbolo | Profitto lordo, pips | Perdita, pips | Profitto, pips | |
---|---|---|---|---|
XAUUSD | 411K | |||
NZDUSD | -1.5K | |||
EURCAD | 1.1K | |||
USDCAD | -1.3K | |||
XTIUSD | -4.9K | |||
CADJPY | 226 | |||
AUDUSD | -1.1K | |||
GBPJPY | -45 | |||
AUDNZD | 639 | |||
CADCHF | 855 | |||
NDXUSD | -70K | |||
EURGBP | -826 | |||
EURJPY | -12 | |||
GBPNZD | -924 | |||
EURNZD | 38 | |||
EURUSD | 36 | |||
NZDCHF | -18 | |||
AUDCHF | 0 | |||
GEREUR | -39K | |||
NZDCAD | -261 | |||
AUDCAD | -698 | |||
GBPAUD | 278 | |||
200K
400K
600K
800K
|
200K
400K
600K
800K
|
200K
400K
600K
800K
|
- Carico di deposito
- Drawdown
Lo slippage medio basato sulle statistiche di esecuzione sugli account reale dei vari broker è specificato in pip. Dipende dalla differenza tra le quotazioni del fornitore da "Weltrade-Real" e le quotazioni dell'abbonato, nonché dai ritardi nell'esecuzione dell'ordine. Valori più bassi indicano una migliore qualità di copiatura.
ACYSecurities-Live
|
0.00 × 8 | |
EightcapEU-Live
|
0.00 × 26 | |
JFCapital-Live
|
0.00 × 60 | |
ICMarketsEU-MT5-2
|
0.00 × 249 | |
ICTrading-MT5-4
|
0.00 × 71 | |
FXDDMauritius-Live
|
0.00 × 46 | |
Inzo-Live
|
0.00 × 2 | |
Just2Trade-MT5
|
0.00 × 10 | |
HTFXLtd-Server
|
0.00 × 39 | |
FXOpen-MT5
|
0.00 × 3 | |
FairForex-LIVE
|
0.00 × 9 | |
HouseOfBorse-Multi Assets
|
0.00 × 38 | |
FxPro-MT5 Live02
|
0.00 × 2 | |
FlowBank-Live
|
0.00 × 8 | |
HonorFX-Live
|
0.00 × 2 | |
AlainsMarket-Server
|
0.00 × 28 | |
XM.COM-MT5
|
0.00 × 9 | |
AFCLive-Server
|
0.00 × 1 | |
Tadenex-MT5Real9
|
0.00 × 8 | |
OxSecurities-Live
|
0.00 × 2 | |
WestGlobalInvestment-LIVE
|
0.00 × 12 | |
EuroTradeGlobal-Server-1
|
0.00 × 5 | |
OANDA-OGM MT5 Live
|
0.00 × 1 | |
PacificUnionLLC-Live
|
0.00 × 5 | |
4xCube-MT5
|
0.00 × 2 | |
This was my small and practice account; now I am going to start trading with $5000 to gain investors trust , I am a swing trader, a Prof firm trader. You can't copy funded accounts directly from MQL5. But you can use Trade Copier, and you can take up to 1% risk.
# Daily fallow ups and updates on Telegram -https://t.me/AlphaSwing
# Sniper and swing entries on GOLD
# Target- 150 to 300% Yearly
# Recommend capital should be more than 300USD
# DD up to 15%
# Stop loss Based on High Low
# Swing entries Target up to 5RR
# Trading All market conditions
# Discipline & consistency & hard work is the My trading success key
# Max 2 trade per pair
# Risk management should be My main priority, not profits.
# psychology : no revenge trade / no fomo I will be emotionless.
# stick to only 1 strategy and master it
# Only trade in My kill zones.
# Its okay to lose , take a lose even if its for a whole 2 week
# Investment at list 3 months period
# Some time I hold trade upto 10 days and more
# My analysis on 4hour and day Chart with fundamental research
Read This-
I will make money for you if you have patience. I will take monthly 8-10 trades , around 1% risk per trade, target yearly 150% to 300% yearly. As a rule of thumb, here is a summary of my management principles. On first management, I consider the next thing: if there are signs against me in this target zone. If not, I aim for more. If the risk reward ratio in this trade is within my average risk-reward numbers. If yes, I consider closing 50/70/ 80/100% of the trade, depending on the risk-reward I have at that moment and the next target. It's all in the numbers. If not, I move break-even and let it run. Risk-free guaranteed anyway. -If I have a good month/quarter, I don't rush to cash out; I let trades run more (assuming no signs against me) and if I don't have a good month/quarter, and I need to improve my performance and profits, I do cash out on target one. Final management is when two TFs are against me.
Thank u