BOT specializes in GBP / USD - Win rate 85% _90% - Max drawndown as low as 8% - 3-month history from $ 200 to $ 3k - Profit sharing cooperation 30/70 - Only receive accounts / team from $ 20k, over $ 100k 15% fee. - If opening, GICC-FX, 15% fee. * Also supports 90% win signal. at least 2000 pips / week. * Suppot fast, recharge and withdraw (with liquidity commitment when problems) TARGET TO MAKE PROFIT FOR LONG-TERM COOPERED INVESTORS. email: phuongnguyen05062014@gmail.com
BOT specializes in GBP / USD - Win rate 85% _90% - Max drawndown as low as 8% - 3-month history from $ 200 to $ 3k - Profit sharing cooperation 30/70 - Only receive accounts / team from $ 20k, over $ 100k 15% fee. - If opening tk at GICC-FX, 15% fee. * Also supports 90% win signal. at least 2000 pips / week. * Suppot fast, recharge and withdraw (with liquidity commitment when problems) TARGET TO MAKE PROFIT FOR LONG-TERM COOPERED INVESTORS.
BOT specializes in GBP / USD - Win rate 85% _90% - Max drawndown as low as 8% - 3-month history from $ 200 to $ 3k - Profit sharing cooperation 30/70 - Only receive accounts / team from $ 20k, over $ 100k 15% fee. - If opening tk at GICC-FX, 15% fee. * Also supports 90% win signal. at least 2000 pips / week. * Suppot fast, recharge and withdraw (with liquidity commitment when problems) TARGET TO MAKE PROFIT FOR LONG-TERM COOPERED INVESTORS.
BOT specializes in GBP / USD - Win rate 85% _90% - Max drawndown as low as 8% - 3-month history from $ 200 to $ 3k - Profit sharing cooperation 30/70 - Only receive accounts / team from $ 20k, over $ 100k 15% fee. - If opening tk at GICC-FX, 15% fee. * Also supports 90% win signal. at least 2000 pips / week. * Suppot fast, recharge and withdraw (with liquidity commitment when problems) TARGET TO MAKE PROFIT FOR LONG-TERM COOPERED INVESTORS.
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so anyone can tell me what can I do now?
The third point I will make for now is my personal experience and might not be that universal: Widen your stop loss! I have been very guilty of trying to take a trade with a very optimistic SL and a larger than otherwise lot size, hoping that the price will only move in one direction. Unfortunately most of the time this is not how the market moves. If you have your SL at a reasonable and calculated level, then if the price hits it, there is a good reason for it and the trade was probably bad. It will be so frustrating for both your mental energy and your bankroll if your SL is hit and the price then moves in its original direction. Make sure there is enough wiggle room for this to happen. Let me know your thoughts, if this is popular I may follow up with a part two. Thanks, Happy trading!
This will be different for some people and different for varying strategies. For me, there is no point trying to catch a reversal right at the top or bottom. The chances of this are slim. It is so much more fruitful to capture the main bulk of a trend rather than trying to guess the tipping point. The meatiest part of a fish is the body, forget about the head and the tail. As well as waiting for a good entry, wait for a good trade set up. If there are no good trades, leave the screen and enjoy your day. I think one losing mentality is that money needs to be made now. On the contrary. Zero trades is a whole lot better than five bad ones.
The second point on my list ties into the first somewhat: Stop closing trades early! Again, patience is key. It is so easy to see some profit and think that the price is about to go against you. Leave it and see what happens. Perhaps move your SL to break even if this works for you and if the market has retested another resistance etc. but most importantly leave your TP where it is. Hopefully there is a reason you put it there in the first place? Trust that. There is nothing more frustrating than closing a trade early and then watching the price continue in that direction afterwards. Some people like to have 2 or 3 TPs. This is fine but know this before hand and not as an excuse to take some early money. Part of the reason for this point is because I have found I would never seem to want to close losing trades early, so over time this bad habit would become a very expensive one.
Take Profit methodology Risk:Reward ratio. Take the SL, and multiply by a given factor. Fibonacci Levels. Typically, when entering divergence based signals on higher timeframes, you will be at the tail end of a Fibonnaci retracement, and TPs can be based on the usual levels. The strategy can be utilised across multiple time frames. For trading on higher time frames, there is a strong argument for building into your positions. i.e. When price moves in your favour by a set amount, add a position at the current price, and move the SL to the last entry level. Process can be repeated several times, up until the movement has exhausted.
I have been dabbling with Forex for a few years now, and have started taking it more seriously over the past few months. I feel that I have come a long way and I would like to share my thoughts on what I have found. It would be interesting to see if anyone agrees or disagrees or has come to any similar conclusions. The first point on my list and perhaps the most important: Patience, patience, patience. This is heard everywhere but remains extremely important and also covers a few points. For example; Wait for a good entry! Think you have a 'sniper' entry at a trend line or on a support level? Wait! Think the market has started moving how you anticipated? Wait! Think the market has given you some confirmation for your trade? Probably still too early! Think you've missed your opportunity? Now you're getting closer to a good entry.
This will be different for some people and different for varying strategies. For me, there is no point trying to catch a reversal right at the top or bottom. The chances of this are slim. It is so much more fruitful to capture the main bulk of a trend rather than trying to guess the tipping point. The meatiest part of a fish is the body, forget about the head and the tail. As well as waiting for a good entry, wait for a good trade set up. If there are no good trades, leave the screen and enjoy your day. I think one losing mentality is that money needs to be made now. On the contrary. Zero trades is a whole lot better than five bad ones.
When the first 2 indicators provide a signal within a given window, for example 5 candles, the trade would then be confirmed using principles 3 and 4. Stop-Loss placement has been utilised using one of two formulas. Swing High/Low - For a long position, take the x candle swing low as the SL. ATR (Average True Range) - Take the entry price, and in the case of a long, place the SL at a set multiple of the ATR below the current price. There is value in using different ATR time frames than the time frame currently being traded.
Sticking with a profitable trading strategy can be tough, but with a predefined set of rules to follow, it can become much easier. The strategy described below has been consistently yielding profit for the last 6 years, and worth giving a punt. Strategy has been applied to several FX markets (USDCHF, USDCAD, USDSGD, EURJPY, EURGBP) and Gold (XAUUSD), and also has relevance in equity trading. Only the general idea is provided here, and profitability relies upon finding the right indicators for each component.
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