Our trading strategy must be to open a buy order at 1.355 with 50% of possible risk you can afford. one more buy order at 1.350 with 30% of possible risk you can afford, and at 1.349 buy with 20% of possible risk you can afford to.
Our targets for these buy orders would be as follows:
TP1: 1.45 -- Liquidate atleast half the positions you have taken -- In my case I liquidate 80%
TP2: 1.53 --Liquidate atleast 5% of the total buy positions you had taken.
TP3: 1.5996 --Liquidate atleast 15% of the total buy positions you had taken.
TP4: 1.6520+ --Liquidate all positions.
This total trade might take up to 3 months.
*Note: My money management rules say that I cannot lose more than .5%-2% of my total wealth depending on the individual trades I make. --This works for me--
Thanks
Our targets for these buy orders would be as follows:
TP1: 1.45 -- Liquidate atleast half the positions you have taken -- In my case I liquidate 80%
TP2: 1.53 --Liquidate atleast 5% of the total buy positions you had taken.
TP3: 1.5996 --Liquidate atleast 15% of the total buy positions you had taken.
TP4: 1.6520+ --Liquidate all positions.
This total trade might take up to 3 months.
*Note: My money management rules say that I cannot lose more than .5%-2% of my total wealth depending on the individual trades I make. --This works for me--
Thanks
면책사항
해당 정보와 게시물은 금융, 투자, 트레이딩 또는 기타 유형의 조언이나 권장 사항으로 간주되지 않으며, 트레이딩뷰에서 제공하거나 보증하는 것이 아닙니다. 자세한 내용은 이용 약관을 참조하세요.
면책사항
해당 정보와 게시물은 금융, 투자, 트레이딩 또는 기타 유형의 조언이나 권장 사항으로 간주되지 않으며, 트레이딩뷰에서 제공하거나 보증하는 것이 아닙니다. 자세한 내용은 이용 약관을 참조하세요.