The strategy is based on analysis of different tools: futures, calls, some stocks, indexes, promissory notes, swops and Forex. My strategy is mid-term, but some trades can last from several minutes (which happens very rarely) to several months (if the situation is favourable). The signals are mid-risky, and according to that they could be given not very often. Most signals are given from XX to XX GMT. The strategy is constantly developing and taking the situation on the market into consideration. 3 lots are used for control of the risk and making bigger profit. The system has been tested on the real account for 4 years, and high results have been got during that time. All positions are opened on the live account.