Nickname: @KEZIA CODINGTRADE
Country: Indonesia
Broker: #FBS Global#
Brief comment:
Basic data of the account
Start time of trading: 2022.8.31 (48 weeks)
Current equity: 2.3K
Deposit: 2K
Withdrawal: 3.2K
Total income: 6.7W
Current profit ratio: 180% (very high potential)
Maximum drawdown: 8.04% (actually should be higher than this figure)
Number of transaction orders: 107 (low frequency)
Holding time: The average position is 2.4d, almost all of which are closed on the next day, and occasionally there are very few orders that are held every other week.
Trading instruments: EUR/USD only
The author's self-report: has not published weibo in the community so far, and knows little about trading ideas.
Advantages: 1. Lower amount of capital, slightly lower drawdown, profit ratio is potential.
- Withdraw funds regularly and let profit make profits.
Disadvantages: 1. The data before June this year are all archived, and the lack of data leads to inaccurate evaluation of the signal.
- This signal is a relatively classic Martin strategy signal. The selected product is EUR/USD, which is more suitable for the Martin strategy. After matching the number of funds and parameters, it can pass most of the fluctuating market period. But because there is no rigid stop loss, there will still be high potential risks!
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