pepperstone_cashflow202 (Od Cashflow202)

Zisk : +30.76%
Čerpanie 54.26%
Pipy: -432273.6
Obchodníci 4197
Vyhrané:
Prehrané:
Typ: Reálny
Páka: 1:200
Obchodovanie: Automaticky

pepperstone_cashflow202 Diskusia

Jan 01 at 17:42
200 Zobrazení
4 Replies
Členom od Jan 01, 2025   6 príspevkov
Jan 01 at 19:20
first post to discuss the strategy!
Členom od Jan 01, 2025   6 príspevkov
Jan 03 at 22:00 (upravené 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
Členom od Jan 05, 2025   1 príspevkov
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!


Členom od Jan 01, 2025   6 príspevkov
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
Členom od Jan 01, 2025   6 príspevkov
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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