This system uses the same strategy as
https://www.myfxbook.com/members/eravo12/tradena-online/20058 (risk profile = 3) and this setting is done to be a signal provider (coming soon) and you should start with an initial capital of 10K$ for being comfortable.
Expectations risk profile as 1:
Performance: bracket between -7% and 14%+ per month.
Initial lot: 0.01 / 10K$ (always 0.01 lot no matter the capital in the master provider signal).
Pyramid (hidden risk is floating): Between 0.71% and 3.44% per sequence’s trading.
Tactical trading: Proprietary system fitting for myself and I’m comfortable with.
Strategy trading: Uses the composed return (expected 8% per month) to reach annual goal.
VaR: Monte Carlo Analysis and simple probability for driving in high trading field FX.
As a trader/investor, I designed this ‘provider signal’ as a long term return with moderate risk profile =1. It means the system could you payback around 800$+/month or 350$/week if you made a monthly withdrawal or around 15.000$+ per year if you are patient. The expectation projection is done with an 8% return per month. The bad scenario is you can lose around 700$ per month if the system is not following correctly the price action.
Before choosing me you should take care about:
1. Before to choose any service you should watch the system around 3/6 months.
2. To watch regularly the equity %. This value gives the hidden risk (i.e. if the equity is 30% it means you account have a virtual loss of 70%. Can you live with that?).
3. Don’t be so impress by the high performance because high performance means often high risk (and almost of the time it’s a hidden risk).
4. As investor you should be focused on the risk. Uses the same time and the same meticulous mindset as if you buy a new car!
5. Keep on your mind that a zero loss system doesn’t exist and you must live some time with a drawdown.
6. Define properly your goal and after that choose prudentially the trading system.
When the signal provider will be validated, I will send a new post regarding the setting in your side. You will have the possibility to increase or decrease the risk and the performance regarding your own goal as:
Risk profile = 1 (monthly return -7% and 14%)
Risk profile = 2 (monthly return -14% and 28%)
Risk profile = 3 (monthly return -21% and 42%)
Risk profile = x (monthly return as your own goal)
My own goal is to delivery a clearly trading system with an acceptable annual return. I will try to manage the loss and not to manage the pain after a huge loss like an empty account!
As a signal provider, I only promise to do my best in the FX trading field and I hope you will be happy by using my knowledge and services.
Happy trading!