pepperstone_cashflow202 (による Cashflow202)

増加 : +197.55%
ドローダウン 50.07%
ピップス: 11761.5
取引 2202
勝利:
負け:
タイプ: リアル
レバレッジ: 1:200
取引: 自動

pepperstone_cashflow202 討論

Jan 01 at 17:42
158 視聴
4 Replies
Jan 01, 2025からメンバー   6 投稿
Jan 01 at 19:20
first post to discuss the strategy!
Jan 01, 2025からメンバー   6 投稿
Jan 03 at 22:00 (編集済みのJan 03 at 22:01)
Weekly Summary (Week 1, 2025)
As the first week of 2025 wraps up, here’s a quick breakdown of my trading performance and key highlights:

Total Trades: 24
Net Profit: SGD 1,738.09
Top Trade: SpotCrude (+SGD 233.22)
Worst Trade: US2000 (+SGD 4.11)
Cumulative Balance (End of Week): SGD 9,151.21

Key Observations
Consistency: A strong start to the year with solid performance across various instruments.
Top Performer: Commodities like SpotCrude contributed significantly to the week's profit.
Room for Improvement: Smaller gains on trades like US2000 indicate areas to fine-tune strategy.

Cheers to a profitable year ahead!
Cashflow202
Jan 05, 2025からメンバー   1 投稿
Jan 05 at 18:42
@Cashflow202, that’s an incredible start to the year. +SGD 1,738.09 in net profit across 24 trades is no small feat and shows the strength of your quant setup. As someone with over 15 years of Wall Street experience, I can say consistency like this is the hallmark of a solid system. The +SGD 233.22 on SpotCrude is a standout trade, showing sharp execution in a challenging market, and even the smaller +SGD 4.11 on US2000 speaks to disciplined risk management and sticking to your edge. Results like this don’t happen by chance. it’s clear your strategy is data-driven and well-honed. Keep refining and scaling, because if this is just the first week, I’m looking forward to seeing what’s next. Great work, and here’s to more wins ahead!


Jan 01, 2025からメンバー   6 投稿
Jan 11 at 14:43
Weekly Summary (Week 2, 2025)
As the second week of 2025 concludes, here’s a breakdown of my trading performance and highlights:

Performance Metrics:

Total Trades: 30
Net Profit: SGD 2,857.52
Top Trade: US2000 (+SGD 427.05)
Worst Trade: EURZAR (-SGD 36.89)
Cumulative Balance (End of Week): SGD 14,051.00

Key Observations:
Consistency: Continued strong performance with a diverse range of trades.
Top Performer: Equity indices like US2000 showed impressive gains.
Improvement Areas: Losses on trades like EURZAR highlight opportunities for refining entry/exit points.

Cheers to another successful week ahead!

Cashflow202
Jan 01, 2025からメンバー   6 投稿
Jan 19 at 20:47

Weekly Summary (Week 3, 2025)As the third week of 2025 concludes, here's an overview of my trading performance and highlights:


 Performance MetricsTotal Trades: 45Net Realized P&L: SGD -715.62Top Trade: SpotCrude (+SGD 80.97)Worst Trade: Crypto20 (-SGD 1,123.97)Unrealized P&L: SGD -1,309.31Cumulative Balance (End of Week): SGD 12,111.72 Key ObservationsMarket Volatility: Mixed performance across indices, Forex, and commodities, with notable losses on Crypto20.Learning Points: Opportunities to refine entries/exits, especially on underperforming trades like Crypto20 and GBPCAD.Positive Areas: Strong execution on commodities like SpotCrude and GER40 contributed to offsetting losses.Risk Management: Unrealized losses indicate room to tighten stop-loss strategies to protect equity. Here's to optimizing strategies and achieving stronger results in the upcoming week! 🚀


Cashflow202

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