Alfans -- 511455714
Investor P/W: asd123
Investor P/W: asd123
1
Millionaire Run 3 replies
millionaire 3 replies
The quest to be a Millionaire 16 replies
Dislikedwe have now these 10 accounts plus 10pipsALAN account 11 {image} fIgnored
Dislikedwith my new account .. i lost all my good performance but i never give up heheheIgnored
Disliked{quote} Hi mate hhloverhh, if you don't mind, can you share with me your experience how your account was lost in just a short time? I hope to learn from your experience so that I could avoid this setup in the future. RegardsIgnored
Disliked{quote} It is strange to see loss now, but there was profit at the end of the April. I also closed all my positions in April itself and no open positions remained. I uploaded picture showing a profit of about $600.00 as April 30, 2021. When I closed all my positions total profit was $721.00 as shown on explorer picture.{image}{image}Ignored
Disliked{quote} That what to make me creazy i remeber your post 30 april: {image} i was thinking it is s mistake of FF, BUT expert say NOT, and excel check also which is 100% accurate say not Now:{image} which is identical to excel,Ignored
Disliked{quote} Simple I was at 22% profit.. and we now have to use a new account... and come back to 0%Ignored
DislikedName : CoolSJC Account : 511458402 Invester PW : asd123 Balance: 10000Ignored
Disliked{quote} {quote} First of all, i am wishing you and your family happy Eid Al-Fitr celebration. And i am sorry for replying so late. You obviously know part of the problems in my country. Lack of Electricity and high cost of data. I don't think there is any problem with Exness based on the -$721.00. Actually it is very correct as the broker record will assume you already withdrawn that amount from your account, thus to them your account profit will read negative in their account record (your account will be debited, even...Ignored
DislikedDear Al-Otaibi, This is what we have from the COMPARATOR: (all make sense, no issue) {image}from that, we come to the main dashboard: (i have wonder) {image}Ignored
Disliked{quote} Normally speaking i live with these complex issues some years. 1- prices disparity 2- volatility degree 3- pipValue 4- brokers with different CS etc.. i was b.w 2 choices: either to choose PV approach or volatility approach after deep experience i chose volatility as the main comparator, and D-thoery, then later enhanced-D-Theory was built on volatility. why? PV approch you can play with it: for example if you choose 1 lot for EURUSD, choose 0.1 lot for XAUUSD. in this way you satisfy both voltaility and PV.Ignored