تنبيه بالمخاطر: تتسم عقود الفروقات بكونها أدوات مالية معقدة وتنطوي على مخاطرة مرتفعة بخسارة الأموال بشكل سريع نتيجة لاستخدام الرافعة المالية. هناك نسبة مقدارها 90% من حسابات المستثمرين الأفراد تخسر الأموال عند تداول عقود الفروقات مع هذا المزود للخدمة. ينبغي أن تنظر فيما إذا كنت تفهم كيفية عمل عقود الفروقات وما إذا كان بمقدورك تحمل المخاطر المرتفعة بخسارة أموالك.
تنبيه بالمخاطر: تتسم عقود الفروقات بكونها أدوات مالية معقدة وتنطوي على مخاطرة مرتفعة بخسارة الأموال بشكل سريع نتيجة لاستخدام الرافعة المالية. هناك نسبة مقدارها 90% من حسابات المستثمرين الأفراد تخسر الأموال عند تداول عقود الفروقات مع هذا المزود للخدمة. ينبغي أن تنظر فيما إذا كنت تفهم كيفية عمل عقود الفروقات وما إذا كان بمقدورك تحمل المخاطر المرتفعة بخسارة أموالك.

حساب إستراتيجية

MA-AT مدير الإستراتيجية
MA-AT
  • الترتيب
    3
  • يوم
    -0.94%
  • شهر
    35.46%
  • العائد
    237.24%
  • المستثمرون
    3
  • الأيام المفتوحة
    513
  • مستوى المخاطرة
  • حصة المحفظة
    29%
استثمار

Artificial Intelligence Quant (AIQ) AUD-CAD-CHF-EUR-GBP-JPY-NZD-USD cross pairs Automated Trading (AT). AIQ trade styles: Fully_Systematic AT (FSAT) - no inputs, and Discretionary_Systematic AT (DSAT) - FSAT controlled by macro fundamental inputs. AIQ strategies: interlocked near-term/0-91days and long-term/1-5years. AIQ risk management: aims for absolute returns and limited downside/~50%_of_Balance. Margin risk: at MarginCall<65% additional funds will be deposited; FlashCrashes are not covered and system will StopOut some positions below 50%. AIQ strategy data: follow the 'News' for more details [Balance, MarginLevel, Profit/Loss, Statistics, etc.]. . Protection Level (PL): set your PL below 30% to survive FlashCrash; Your risk to underperform against this strategy rises along higher PL.

Past performance does not guarantee future returns. Trading is risky.

MA-AT
بقلم MA-AT
01.04.2019
AIQ Overview 2019.03.30
--FSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: AUD'-3.07 | CAD'-12.20 | EUR'-20.21 | GBP'-60.02 Short: JPY'4.46 | USD'20.90 | NZD'44.15 | CHF'60.73 --DSAT-Risk-------------------------------- Everything is or will be delayed, patiently moving sideways. GBP - BreXit(BX): Same expectations: Elections|Referendum and/or NoOrSoftBX -> BOE interests rates increased. AUD - US/CN trade deal: Agreed and signed before summer Q3. Downside limited by RBA interventions. --Strategy-Exposure------------------------ Long: AUD'49.73% | GBP'22.04% | EUR'14.85% | CAD'13.38% Short: CHF'-38.72% | NZD'-37.10% | USD'-24.18% --Account-Status--------------------------- Balance: >25000EUR | Leverage: 1:30 | Investors/Funds: 3/1351.57EUR | LiveLots/LiveTrades: 8.30/352 | Liabilities/Receivables: -23.51%/9.05% | Liquidation_Loss: -14.46% | Margin_Level: 109.37%
MA-AT
بقلم MA-AT
04.03.2019
AIQ Overview 2019.03.02
--FSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: JPY'-0.88 | AUD'-6.95 | CAD'-11.83 | EUR'-14.98 | GBP'-56.62 Short: USD'19.58 | NZD'41.75 | CHF'58.35 --DSAT-Risk-------------------------------- GBP - BreXit(BX) chances: 29% NoDealBX slump>23%, 28% DealBX up<5%, 43% No_orSoftBX up<11%. Major_Event: 12.03.2019. AUD - US/CN trade deal chances: 87% agreed and signed by late March. Downside limited by RBA interventions. CAD - Important and busy macro week ahead. --Strategy-Exposure------------------------ Long: AUD'39.01% | EUR'35.94% | GBP'19.52% | CAD'5.53% Short: NZD'-36.48% | CHF'-36.46% | USD'-27.06% --Account-Status--------------------------- Balance: >25000EUR | Leverage: 1:30 | Investors/Funds: 3/938.49EUR | LiveLots/LiveTrades: 6.97/259 | Liabilities/Receivables: -18.91%/13.16% | Liquidation_Loss: -5.75% | Margin_Level: 139.88%
MA-AT
بقلم MA-AT
25.02.2019
AIQ Overview 2019.02.23
--FSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: AUD'-3.16 | CAD'-8.00 | EUR'-17.69 | GBP'-60.52 Short: JPY'2.94 | USD'18.39 | NZD'43.17 | CHF'59.32 --DSAT-Risk-------------------------------- GBP - BreXit(BX) chances: 31% NoDealBX slump>19%, 23% DealBX up<7%, 46% No_orSoftBX up<11%. Major_Event: 27.02.2019. AUD - US/CN trade deal chances: 83% either agreed or extended by 01.03.2019. Downside limited by RBA interventions. --Strategy-Exposure------------------------ Long: EUR'41.26% | AUD'33.12% | GBP'20.50% | CAD'5.13% Short: CHF'-41.96% | NZD'-38.84% | USD'-19.20% --Account-Status--------------------------- Balance: >25000EUR | Leverage: 1:30 | Investors/Funds: 3/933.8EUR | LiveLots/LiveTrades: 6.24/261 | Liabilities/Receivables: -18.30%/11.37% | Liquidation_Loss: -6.93% | Margin_Level: 152.28%
MA-AT
بقلم MA-AT
11.02.2019
AIQ Overview 2019.02.09
--FSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: AUD'-5.83 | CAD'-10.48 | EUR'-16.11 | GBP'-62.53 Short: JPY'6.14 | USD'19.70 | NZD'39.32 | CHF'59.53 --DSAT-Risk-------------------------------- GBP - Brexit chances: 34% NDB, 19% DB, 47% NSB. Revaluation in progress due to BOE's non-sense claims. NDB: nasty slump >19%; DB|NSB: limited up <7%. AUD - US/CN trade deal chances: 73% CN will cave. Deadline: 01.03.2019. Downside limited by RBA interventions against weak AUD. --Strategy-Exposure------------------------ Long: EUR'38.31% | AUD'33.03% | GBP'23.67% | CAD'4.99% Short: CHF'-45.82% | NZD'-36.00% | USD'-18.19% --Account-Status--------------------------- Balance: >25000EUR | Leverage: 1:30 | Investors/Funds: 3/925.5EUR | LiveLots/LiveTrades: 6.22/259 | Liabilities/Receivables: -19.38%/10.13% | Liquidation_Loss: -9.26% | Margin_Level: 146.65%
MA-AT
بقلم MA-AT
04.02.2019
AIQ Overview 2019.02.02
--FSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: AUD'-0.54 | CAD'-8.45 | EUR'-17.06 | GBP'-61.68 Short: JPY'4.25 | USD'15.84 | NZD'44.28 | CHF'58.01 --DSAT-Risk-------------------------------- GBP - Brexit chances: 31% NDB, 21% DB, 48% NSB. Expectations: Elections|Referendum and/or NSB->BOE interests rates increased. AUD - US/CN trade deal chances: 79% CN will cave. Deadline: 1st March --Strategy-Exposure------------------------ Long: EUR'53.60% | AUD'20.93% | GBP'20.12% | CAD'5.35% Short: CHF'-51.85% | NZD'-30.69% | USD'-17.46% --Account-Status--------------------------- Balance: >25000EUR | Leverage: 1:30 | Investors/Funds: 4/13772.87EUR | LiveLots/LiveTrades: 5.15/232 | Liabilities/Receivables: -12.22%/11.15% | Liquidation_Loss: -1.07% | Margin_Level: 191.82%
MA-AT
بقلم MA-AT
28.01.2019
AIQ Overview 2019.01.26
--FSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: AUD'-03.18 | CAD'-10.95 | EUR'-16.15 | GBP'-59.00 Short: JPY'05.54 | USD'16.90 | NZD'41.87 | CHF'59.21 --DSAT-Risk-------------------------------- GBP - Brexit chances: 27% NDB, 23% DB, 50% NSB. Positions(Exposure) reduced due to increased risk of NDB. AUD - US-CN trade deal: in focus now; deal deadline 1st of March --Strategy-Exposure------------------------ Long: EUR'55.85% | AUD'20.57% | GBP'18.38% | CAD'5.20% Short: CHF'-50.99% | NZD'-30.52% | USD'-18.49% --Account-Status--------------------------- Balance: >25000EUR | Leverage: 1:30 | Investors/Funds: 2/764.91EUR | LiveLots/LiveTrades: 4.95/212 | Liabilities/Receivable: -11.92%/11.34% | Liquidation_Loss: -0.57% | Margin_Level: 200.74%
MA-AT
بقلم MA-AT
22.01.2019
New FSAT feature implemented.
New feature near-term 0-31days FSAT trading is active now.
MA-AT
بقلم MA-AT
20.01.2019
AIQ Overview 2019.01.19
--DSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: AUD'-02.96 | CAD'-11.64 | EUR'-16.91 | GBP'-65.88 Short: JPY'04.85 | USD'18.78 | NZD'38.49 | CHF'59.72 --FSAT-Risk-------------------------------- GBP - Brexit chances: 19% NDB, 19% DB, 62% NSB. Expectations: Elections|Referendum and/or NSB->BOE interests rates increases. --Strategy-Exposure------------------------ Long: GBP'61.53% | AUD'18.51% | EUR'13.64% | CAD'6.33% Short: CHF'-64.89% | USD'-21.72% | NZD'-13.40% --Account-Status--------------------------- Investors/Funds: 2/687.76EUR | LiveLots/LiveTrades: 5.30/289 | Liabilities/Receivable: -21.35%/11.78% | Liquidation_Loss: -9.57% | Margin_Level: 148.38%
MA-AT
بقلم MA-AT
15.01.2019
AIQ Overview 2019.01.15
--Exposure--------------------------------- Long: GBP'71.45% | AUD'21.59% | CAD'6.96% Short: CHF'-60.44% | USD'-19.86% | NZD'-12.91% | EUR'-6.80% --DSAT-Risk-------------------------------- Zero is the most risk balanced currency. Any divergence from zero increases risk odds. Long: AUD'-02.54 | CAD'-13.07 | EUR'-15.78 | GBP'-67.49 Short: JPY'07.31 | USD'17.31 | NZD'41.18 | CHF'61.11 --FSAT-Risk-------------------------------- GBP - Brexit chances: 13% NDB, 37% DB, 50% NSB. Not hedged. Expectations: Deal voted down->No confidence vote->Referendum and/or NSB. --Account-Status--------------------------- Investors/Funds: 2/640.34EUR | LiveLots/LiveTrades: 5.15/274 | Liabilities/Receivable: -29.97%/6.74% | Liquidation_Loss: -23.23% | Margin_Level: 129.38%
MA-AT
بقلم MA-AT
23.12.2018
Account Status 2018.12.22
AIQ-Long_Exposure: GBP'78.44% | AUD'19.47% | CAD'2.09% AIQ-Short_Exposure: EUR'-43.77% | CHF'-36.56% | USD'-12.00% | NZD'-7.67% ------------------------------------------- FSAT GBP - Brexit chances: 21% NDB, 40% DB, 39% NSB. Not hedged, partial diversification into other currencies. ------------------------------------------- Investors/Funds: 4/1254.91EUR | LiveLots/LiveTrades: 5.49/275 | Liabilities/Receivable: -44.15%/2.76% | Liquidation_Loss: -41.39% | Margin_Level: 97.75%
MA-AT
بقلم MA-AT
17.12.2018
Account Status 2018.12.15
AIQ-Long_Exposure: GBP'80.40% | AUD'17.42% | CAD'2.18% AIQ-Short_Exposure: CHF'-43.71% | EUR'-36.14% | USD'-10.84% | NZD'-9.31% ------------------------------------------- FSAT GBP - Brexit chances: 20% NDB, 42% DB, 38% NSB. Volatility in GBP is still mainly driven by politics. AIQ can withstand -17% squeeze without looses. Currently AIQ is still in safe zone of -11% moves in GBP. If NDB chances will go even higher, or any unexpected turn of events, hedging will be enabled. ------------------------------------------- Investors/Funds: 4/1319.12EUR | LiveLots/LiveTrades: 5.26/274 | Liabilities/Receivable: -38.70%/2.68% | Liquidation_Loss: -36.02% | Margin_Level: 111.05%
MA-AT
بقلم MA-AT
10.12.2018
Tuesday parliament vote on EU-UK treaty.
There are 3 possible official outcomes: No-Deal Brexit (NDB), Deal-Brexit (DB), and No-or-Soft Brexit (NSB). Statistically speaking, chances are 15% NDB, 45% DB, 40% NSB. * In the outcome of 15% NDB, the AIQ could be toasted and big losses might emerge on the account. AIQ has no hedge implemented for this outcome as of now. * In the outcome of DB and NSB (45% and 40% chance), the current AIQ strategy is a winner. * In any outcome, there will be extreme move in GBP (3-11%). Any GBP downside is limited by BOE promised increase of 0.25-3.5% points in interest rates. After Tuesday vote down, the whole situation will be in black-pandora-box with a little chance to predict outcomes. Economically, NDB->WTO is NOT a bad outcome, EUR will suffer more. GBP volatility is overhyped mainly by politics, not economics. Let's see how UK parliament will vote and what actions will be taken after. GAME IS ON!
MA-AT
بقلم MA-AT
10.12.2018
Account Status 2018.12.08
Long_Exposure: GBP'82.90% | AUD'14.87% | CAD'2.23% Short_Exposure: CHF'-52.62% | EUR'-27.14% | USD'-12.94% | NZD'-7.30% ------------------------------------------- *********** 5.04 lots in 273 trades . Investors/Funds: 4/1226.78EUR | Liabilities/Receivable: -34.72%/2.88% | Liquidation_Loss: -31.84% | Margin_Level: 123.15%
MA-AT
بقلم MA-AT
02.12.2018
Account Status 2018.12.01
Long_Exposure: GBP'75.68% | AUD'13.76% | EUR'8.51% | CAD'2.04% Short_Exposure: CHF'-72.02% | USD'-17.87% | NZD'-10.11% ------------------------------------------- *********** 5.04 lots in 273 trades . Investors/Funds: 3/1150.70EUR | Liabilities/Receivable: -21.68%/5.59% | Liquidation_Loss: -16.09% | Margin_Level: 151.63%
MA-AT
بقلم MA-AT
25.11.2018
Account Status 2018.11.24
Active FSAT trades: AUDNZD: 0.41 lots in 1 trades AUDUSD: 0.70 lots in 70 trades CADCHF: 0.16 lots in 16 trades Active DSAT trades: EURGBP: 2.24 lots in 112 trades GBPCHF: 1.53 lots in 74 trades ------------------------------------------- *********** 5.04 lots in 273 trades . Investors/Funds: 3/1170.52EUR | Loss/(Balance/100) = -14.62% | Margin_Level: 154.36%
MA-AT
بقلم MA-AT
18.11.2018
Account Status 2018.11.17
Active FSAT trades: AUDNZD: 0.41 lots in 1 trades AUDUSD: 0.70 lots in 70 trades CADCHF: 0.16 lots in 16 trades Active DSAT trades: EURGBP: 2.24 lots in 112 trades GBPCHF: 1.53 lots in 74 trades ------------------------------------------- *********** 5.04 lots in 273 trades . Investors/Funds: 3/1176.81EUR | Loss/(Balance/100) = -13.24% | Margin_Level: 156.87%
MA-AT
بقلم MA-AT
11.11.2018
Account Status 2018.11.10
Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.17 lots in 271 trades . Investors/Funds: 2/922.64EUR | Profit/(Balance/100) = 5.14% | Margin_Level: 227.99%
MA-AT
بقلم MA-AT
04.11.2018
Account Status 2018.11.03
Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.17 lots in 271 trades . Investors/Funds: 3/1227.50EUR | Profit/(Balance/100) = 0.65% | Margin_Level: 218.25%
MA-AT
بقلم MA-AT
29.10.2018
Account Status 2018.10.27
Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.17 lots in 271 trades . Investors/Funds: 3/1103.29EUR | Loss/(Balance/100) = -18.43% | Margin_Level: 176.88%
MA-AT
بقلم MA-AT
21.10.2018
Account Status 2018.10.20
Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.17 lots in 271 trades . Investors/Funds: 3/1242.07EUR | Loss/(Balance/100) = -3.37% | Margin_Level: 209.52%
MA-AT
بقلم MA-AT
14.10.2018
Account Status 2018.10.13
Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.17 lots in 271 trades . Investors/Funds: 3/1288.28EUR | Loss/(Balance/100) = -0.59% | Margin_Level: 215.56%
MA-AT
بقلم MA-AT
08.10.2018
Account status 2018.10.06
Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.17 lots in 271 trades . Investors/Funds: 3/1268.57EUR | Loss/(Balance/100) = -2.76% | Margin_Level: 210.85%
MA-AT
بقلم MA-AT
05.10.2018
Statistics cacelled
Statistics cancelled as per clause 1.1 of the Client Agreement under the "Trading Account History'' term, all client’s trading and/or non-trading activity may be from time to time in part of or all be transferred and/or further archived and/or shrunk and/or compressed. Please ignore past statistics as they are due to mentioned clause incorrect and faulty.
MA-AT
بقلم MA-AT
24.09.2018
Performance Measure 2018.09.22
Annualized_Return: 34.64% | Annualized_Volatility: 62.09% | Cumulative_Return: 26.33% | Daily_GPR: 0.16 | Monthly_GPR: 6.57 | Sharpe_Ratio: 2.17 | Sortino_Ratio/sqrt(2): 2.09 | MAR: 0.86 | CALMAR: 0.86 | Skewness: -0.58 | Kurtosis: 7.35 | Daily_Standard_Deviation: 3.91% | VaR: -6.24% | Expected_Shortfall: -19.92% . Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades CADJPY: 0.45 lots in 45 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.62 lots in 316 trades . Investors/Funds: 3/959.49EUR | Loss/(Balance/100) = -30.47% | Margin_Level: 136.27%
MA-AT
بقلم MA-AT
15.09.2018
Performance Measure 2018.09.15
Annualized_Return: 50.79% | Annualized_Volatility: 57.35% | Cumulative_Return: 37.19% | Daily_GPR: 0.20 | Monthly_GPR: 12.80 | Sharpe_Ratio: 2.63 | Sortino_Ratio/sqrt(2): 2.77 | MAR: 1.25 | CALMAR: 1.25 | Skewness: 0.50 | Kurtosis: 2.46 | Daily_Standard_Deviation: 3.61% | VaR: -5.72% | Expected_Shortfall: -14.74% . Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades CADJPY: 0.45 lots in 45 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.62 lots in 316 trades . Investors/Funds: 4/1177.15EUR | Loss/(Balance/100) = -23.73% | Margin_Level: 149.48%
MA-AT
بقلم MA-AT
09.09.2018
Statistics fixed 2018.09.08
Annualized_Return: 25.82% | Annualized_Volatility: 65.63% | Cumulative_Return: 18.80% | Daily_GPR: 0.13 | Monthly_GPR: 12.77 | Sharpe_Ratio: 1.92 | Sortino_Ratio/sqrt(2): 1.97 | MAR: 0.84 | CALMAR: 0.84 | Skewness: 0.20 | Kurtosis: 1.60 | Daily_Standard_Deviation: 4.13% | VaR: -6.62% | Expected_Shortfall: -16.80% . Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.53 lots in 74 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades CADJPY: 0.45 lots in 45 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.62 lots in 316 trades . Investors/Funds: 4/1060.64EUR | Loss/(Balance/100) = -35.89% | Margin_Level: 125.66%
MA-AT
بقلم MA-AT
03.09.2018
Performance Measure 2018.09.01
Annualized_Return: 51.02% | Annualized_Volatility: 60.61% | Cumulative_Return: 36.45% | Daily_GPR: 0.19 | Sharpe_Ratio: 2.49 | Sortino_Ratio/sqrt(2): 2.58 | MAR: 1.89 | CALMAR: 1.89 | Skewness: 0.35 | Kurtosis: 1.44 | Daily_Standard_Deviation: 3.82% | VaR: -1.93% | Expected_Shortfall: -2.12% . Active FSAT trades: AUDUSD: 0.70 lots in 70 trades GBPCHF: 1.46 lots in 73 trades Active DSAT trades: CADCHF: 0.16 lots in 16 trades CADJPY: 0.45 lots in 45 trades EURGBP: 1.78 lots in 111 trades ------------------------------------------- *********** 4.55 lots in 315 trades . Investors/Funds: 4/1094.19EUR | Loss/(Balance/100) = -32.46% | Margin_Level: 134.66%

Past performance does not guarantee future returns. Trading is risky.

أسبوعشهر3 أشهرالإجمالي
5.71 %35.46 %45.53 %237.24 %

إحصائيات

إجمالي أيام التداول440
أيام الربح226
معدّل الربح اليومي+3.59%
أيام عدم الربح208
معدّل الخسارة اليومي -3.04%
متوسط المعدّل اليومي +0.54 %
تراجع56.77%

الإعدادات

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حساب الربحية

الإيداع:
فترة الاستثمار: يوم
قيمة حسابك المحتملة:
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All statistics below are calculated based on closed trades and updated once a day at 00:00 (GMT+2)

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