Hello, my name is Sam. I have traded currencies for about 8 years from now and managing family, friends and investor accounts in the last years with sucess. Today I work as a full time trader at hedge funds and brokers.
About our system then:
We have two different approaches in the market, during London / New York sesson we trade EURUSD 5m chart and try to exploit the shortterm trend and try to get in when volatility is high. We open trades in considiration of time and volatility in the market. We scale up positions and the purpose is to filter out bad signals in the market (False signals). It can open as much as 25 trades at the same time with 0.01 lot per 2k when trading the EURUSD. Be patient when following this pair, It can have alot of loosing streaks (weeks, months) but the winning ones will recover the losses eventually.
During Asian session using overbought/oversold levels to identify good trading opportunities. Wide SL and TP during asian session but most of the times we close positions before SL and TP are hit. The system trades on average 130/ month.
Trading 5 pairs during Asian session and 1 pair during London / New York session. Pairs traded: AUDNZD, EURCAD, EURUSD, GBPAUD, USDJPY and USDCAD. Deleted CHFJPY, EURGBP, EURSGD, EURJPY, GBPUSD, and GBPCHF from the trading portfolio. Principles when trading. You should have the same principles when following;
1. Always use SL and TP
2. Strict money management
3. Discipline.
4. Stick to the trading plan at all times.
5. Embrace losses and wins equal, no emotions!
Qoute "If you donīt know who you are EMOTIONALLY, it doesnīt matter what you know INTELLECTUALLY"
The account use low risk and its goal is to have a smooth equity curve at all times. No dangerous martingale, grid, no SL or other dangerous styles of strategy. SL and TP on all trades and I donīt add up losing positions. Slippage protector, spread protector and equity protector (Max 10% loss). Please bear in mind that when choosing a broker, choose a broker that opens 09:00 PM (GMT) sunday or at least 5 min after Sydney opening.
CHOOSING A BROKER: I strongly recommend to use a low spread broker (ECN broker) and have low latency to your broker to prevent slippage problem etc etc.
My broker recommendation when following; Pepperstone, Tickmill, GlobalPrime, FXPig, ICMarkets, JFDBrokers or Darwinex.
Latency to broker: 0.5-10ms is recommended.
Here is our results: http://www.myfxbook.com/members/GloryForex
Here you can join: https://www.simpletrader.net/signal/...tanTrader.html or my other account Atlas from here : https://www.simpletrader.net/signal/4804/AtlasFX.html
You can join our PAMM from here : https://www.fxpig.com/invest-fxtitans
About our system then:
We have two different approaches in the market, during London / New York sesson we trade EURUSD 5m chart and try to exploit the shortterm trend and try to get in when volatility is high. We open trades in considiration of time and volatility in the market. We scale up positions and the purpose is to filter out bad signals in the market (False signals). It can open as much as 25 trades at the same time with 0.01 lot per 2k when trading the EURUSD. Be patient when following this pair, It can have alot of loosing streaks (weeks, months) but the winning ones will recover the losses eventually.
During Asian session using overbought/oversold levels to identify good trading opportunities. Wide SL and TP during asian session but most of the times we close positions before SL and TP are hit. The system trades on average 130/ month.
Trading 5 pairs during Asian session and 1 pair during London / New York session. Pairs traded: AUDNZD, EURCAD, EURUSD, GBPAUD, USDJPY and USDCAD. Deleted CHFJPY, EURGBP, EURSGD, EURJPY, GBPUSD, and GBPCHF from the trading portfolio. Principles when trading. You should have the same principles when following;
1. Always use SL and TP
2. Strict money management
3. Discipline.
4. Stick to the trading plan at all times.
5. Embrace losses and wins equal, no emotions!
Qoute "If you donīt know who you are EMOTIONALLY, it doesnīt matter what you know INTELLECTUALLY"
The account use low risk and its goal is to have a smooth equity curve at all times. No dangerous martingale, grid, no SL or other dangerous styles of strategy. SL and TP on all trades and I donīt add up losing positions. Slippage protector, spread protector and equity protector (Max 10% loss). Please bear in mind that when choosing a broker, choose a broker that opens 09:00 PM (GMT) sunday or at least 5 min after Sydney opening.
CHOOSING A BROKER: I strongly recommend to use a low spread broker (ECN broker) and have low latency to your broker to prevent slippage problem etc etc.
My broker recommendation when following; Pepperstone, Tickmill, GlobalPrime, FXPig, ICMarkets, JFDBrokers or Darwinex.
Latency to broker: 0.5-10ms is recommended.
Here is our results: http://www.myfxbook.com/members/GloryForex
Here you can join: https://www.simpletrader.net/signal/...tanTrader.html or my other account Atlas from here : https://www.simpletrader.net/signal/4804/AtlasFX.html
You can join our PAMM from here : https://www.fxpig.com/invest-fxtitans