Peringatan Risiko: CFD adalah instrumen finansial kompleks yang membawa risiko kerugian yang sangat besar dan cepat karena adanya leverage. 80% akun investor ritel mengalami kerugian saat memperdagangkan CFD bersama penyedia ini. Anda harus memperhatikan apakah Anda memahami cara kerja CFD dan apakah Anda sanggup menanggung risiko tinggi hilangnya modal Anda.
Peringatan Risiko: CFD adalah instrumen finansial kompleks yang membawa risiko kerugian yang sangat besar dan cepat karena adanya leverage. 80% akun investor ritel mengalami kerugian saat memperdagangkan CFD bersama penyedia ini. Anda harus memperhatikan apakah Anda memahami cara kerja CFD dan apakah Anda sanggup menanggung risiko tinggi hilangnya modal Anda.

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August 2020 Return

Monthly results after fees is: Hefoba02=1.87% Hefoba03=2.06%

August 2020 Return

Monthly results after fees is: Hefoba02=1.87% Hefoba03=2.06%

August 2020 Return

Monthly results after fees is: Hefoba02=1.87% Hefoba03=2.06%

July 2020 Return

Monthly results after fees is Hefoba02=2.44% Hefoba03=2.37%

Hefoba03 July Return

Monthly results after fees is 2.37%

increased volatility

Due to the Corona Virus situation , volatility has been increased and zig zaging . I do apologize for the drops and hills in equity however the system kept its draw down around 30 % . Unexpected market moves can cause sudden drops in equity however the systems are designed to cope with this . Thank you for your understanding .

Week 43

This week some Pairs were very slow and some were very directional not giving opportunities to enter. Still the week ended slightly positive (+0.86%), due to last week's trade -------------------- -- Open Trades from previous Week/s: AUDJPY - Trade reached the target 2 on Monday closing for +0.86% -------------------- -- Trades during Week 43: There were no Signals on week 43. -------------------- -- Trades being carried to Week 44 There are no trades being carried to week 44. -------------------- -- Statistics (based on closed trades): Overall Account Profit: -12.82% Actual Draw-Down: -12.82% Max Draw-Down: -14.30% (Week 41)

Week 42

This week the markets were very directional not giving opportunities to enter. Still the week ended slightly positive (+0.62%) -------------------- -- Open Trades from previous Week/s: There were no open trades -------------------- -- Trades during Week 42: AUDJPY - Trade played arround the entry for the major part of the week, but ended up hitting the 1st Target for +0.62%. -------------------- -- Trades being carried to Week 43 AUDJPY - Target 2 is still open, but the open risk is minimized to 0% -------------------- -- Statistics (based on closed trades): Overall Account Profit: -13.68% Actual Draw-Down: -13.68% Max Draw-Down: -14.30% (Week 41)

Week 41

All the signals this week ended up losing hard (-7.04%) deepening even further the actual Draw-Down The important thing is, until now there were no -------------------- -- Open Trades from previous Week/s: EURCHF - This Pair ended up stopping the trade out on the trailing for -0.12% -------------------- -- Trades during Week 41: During the week there were 2 signals: USDJPY #1 - Breakout trade that did not work out -1.80% GBPUSD - Lost Trend Continuation Trade -1.74% EURUSD - Lost Trend Continuation Trade -1.74% USDJPY #2 - Lost Trend Continuation Trade -1.64% -------------------- -- Trades being carried to Week 42 All Trades were closed during the week -------------------- -- Statistics (based on closed trades): Overall Account Profit: -14.30% Actual Draw-Down: -14.30% Max Draw-Down: -14.30% (Week 41)

Week 40

The week ended up being slightly negative for -0.50%. -------------------- -- Open Trades from Week 39: No trades from Week 39 were closed -------------------- -- Trades during Week 40: During the week there were 2 signals: EURUSD #1 - This trade managed to get a target 1 but the target 2 ended up on break-even totaling +0.87% EURUSD #2 - There was another signal on the pair, that was unfortunately stopped out for -1.37% -------------------- -- Trades being carried to Week 41 EURCHF - Trade is still on with a reduced risk of around -0.20% -------------------- -- Statistics (based on closed trades): Overall Account Profit: -7.26% Actual Draw-Down: -7.26% Max Draw-Down: -7.26% (Week 40)

Week 39 - Red Week

The week ended deep in the red for about -5.02%. -------------------- -- Open Trades from Week 38: AUDCAD - The open trade turned up as a loser (-1.50%) -------------------- -- Trades during Week 39: During the week there were 3 signals: USDJPY #1 - This trade was an immediate loss for -1.88% USDJPY #2 - There was another signal on the pair, that was also unfortunately stopped out for -1.64% -------------------- -- Trades being carried to Week 40 EURCHF - Trade is still going with an open risk of around -1.11% -------------------- -- Statistics (based on closed trades): Overall Account Profit: -6.76% Actual Relative Draw-Down: -6.76% Max Relative Draw-Down: -6.76% (Week 39)

Tidak ada catatan yang sesuai

Kinerja lampau tidak menjamin hasil mendatang. Trading adalah aktivitas berisiko.

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