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Our Strategy has as principal : Profit with minimum risk and small draw down.
Our signals based in technical analysis , we use a combination of technical indicators to decide the entry point and we confirm with candlesticks, we are considering also fundamental analysis. We prefer to close a position with loss if going opposite, even there are probabilities to turn later in profit . We want to keep low risk with a standard profit always.
Every order is 1 lot ,but in some cases maybe it will be 2 or 3 maximum , when we have a strong signal from our indicators. We don't open many orders same time . Always we keep monitoring open trades and ready to exit if indicators change.
We trade during Asian & London session the most of times.
In Forex market none can guarantee profits but we can guarantee we trade with high responsibility for our customers. The most important is to keep a good money management to protect your capital.

Balanced - system trading

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
2009 +7.5% -3.5% +16.5% -7% -1.6% +1.5%
2010 +10.5% (-3%) (-2.4%)
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Pips $
Get access to forex trading strategy
Strategy Name Balanced
Date Started 2009-07-13
Number of weeks 35
Max concurrent lots 3
Max drawdown for 1 lot 200 (pips)
Min account amount $ 4000
Max drawdown for full amount 20 % 22.4%
Trading currencies EUR/USD, USD/JPY, GBP/USD, USD/CHF, EUR/CHF, AUD/USD, USD/CAD, NZD/USD, EUR/GBP, EUR/JPY, GBP/JPY, CHF/JPY, GBP/CHF, NZD/JPY, AUD/JPY, EUR/AUD, AUD/CAD, CAD/JPY
Pips $
Total +370 pips +$359.4
Total profitability +8.98 %
Trades 256
Profitable Trades 203
Loss Trades 53
Win ratio 79 %
Maximum account level +1203 pips +$5179.17
Minimum account level -36 pips +$3976.12
Max loss -881 pips -$897.26
Max loss (%) 22.40%
since 2009-10-14 to 2009-10-31
 
 
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