Strategy Name: Adaptive Growth
About the Strategy:
Professional Intraday trading strategy focused on Gold. I use a disciplined approach based on institutional breakout levels and trend momentum. No risky methods like Martingale or Grid are ever used.
Risk Management:
To ensure correct lot sizing and synchronization, I recommend a minimum balance of $10. For best results, please keep the signals active 24/5 and consider a long-term investment horizon (3-6 months).
Profile:
I’ve traded live capital for over 10 years, primarily in FX and Gold, through both high-volatility and low-liquidity environments. My goal is to deliver consistent, risk-adjusted returns while keeping drawdowns within predefined limits, allowing for sustainable long-term capital growth. This strategy is best suited for investors who value disciplined risk management, transparency, and steady growth over high-risk speculation. Join:
About the Strategy:
Professional Intraday trading strategy focused on Gold. I use a disciplined approach based on institutional breakout levels and trend momentum. No risky methods like Martingale or Grid are ever used.
Risk Management:
- Fixed risk per trade: 0,5%-5%
- Hard Stop Loss for every position.
- Target Reward-to-Risk ratio: 2:1.
- Maximum expected drawdown: 10%.
To ensure correct lot sizing and synchronization, I recommend a minimum balance of $10. For best results, please keep the signals active 24/5 and consider a long-term investment horizon (3-6 months).
Profile:
I’ve traded live capital for over 10 years, primarily in FX and Gold, through both high-volatility and low-liquidity environments. My goal is to deliver consistent, risk-adjusted returns while keeping drawdowns within predefined limits, allowing for sustainable long-term capital growth. This strategy is best suited for investors who value disciplined risk management, transparency, and steady growth over high-risk speculation. Join: