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This strategy aims at achieving a high win ratio and delivering 500 - 1500 pips per month.
Please protect your capital by allowing the full maximum draw down for each and every trade and a little more just as a safety measure.

Other than that I will try my best to deliver good trades as continuously as possible.

I am a trader who has been trading Forex for nearly 10 years and been involved in financial markets and all kinds of investment instruments for nearly 15 years.

All trades are manual trades and are based mainly on mid-term over-sold and over-bought valuation and further based mainly on fundamental evaluation.
With this strategy 3 lots are opened at maximum. Usually it will be 1 lot per currency pair sometimes 2 lots per currency pair. This is determined whether other opportunities can be found or if an unexpected draw down gives rise to an opportunity to enter a second lot for the same pair.

The timing of the signals cannot be fixed. Usually 5-15 trades can be expected in any given month.
Usually pending orders are opened, therefore you can easily manually input the order with any broker and on any kind of platform. However it is suggested that subscribers should be able to access their trading accounts within a short period of time, of the signal being issued, in case market order are issued from time to time.
However since I am not trading intra-day, even if you miss an entry, chances are high in most cases that you will be able to enter the same trade close to my entry, at times even below my entry, which then is to your advantage.
- Should the situation occur that when you want to enter, the trade has already moved in the direction of the target, you can still enter the same trade as long as the running profit is not more than 30-50 pips.

Target prices are usually 50 - 150 pips per trade. This gives enough room for subscribers to follow signals and also with any type of broker.

Trades are usually open for a few days up to 1-3 weeks. In total terms looking at year's performance this is still considered short-term investing or trading. I prefer the term short-term investing as it better fits my style and the basis of my analysis.

Target prices are usually not amended, if they are amended it usually means that the trade is no longer valued to be as promising as when entering it.

Outperformers strategy

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
2011 +24.4% +30.8% +6.7% +6% +32.5% -47.4% +5.1%     -
2010 +6.7%
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Pips $
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Strategy Name Outperformers
Date Started 2010-12-27
Number of weeks 43
Max concurrent lots 3
Max drawdown for 1 lot 400 (pips)
Min account amount $ 3000
Max drawdown for full amount 60 % 110.3%
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 +173 pips -$93.82
Total profitability -3.13 %
Trades 54
Profitable Trades 38
Loss Trades 16
Win ratio 70 %
Maximum account level +2773 pips +$6217.67
Minimum account level +48 pips +$2906.18
Max loss -2600 pips -$3311.49
Max loss (%) 110.30%
since 2011-06-01 to 2011-08-06
 
 
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