Started to trade a system from the beginning of this year. After the first quarter the result is about 14xRisk and max drawdown about 2xRisk. I trade only long mostly weekly and D3 timeframe. I use several brokers to fulfill money management requirements but adding commodities to trading still remain difficult. I use fixed target levels but I will also consider to exit on swap limit criteria or time limit criteria. Target levels will be specified as percentage variation from current price. Trading only long allow to pay the spread at the opening of the trade and not to worry what will be the spread that brokers will take from us at the close of the trade.