Profitable trading since 2015 with an average over 3% per month.
Most trading is manual on many major and minor pairs but avoiding GBP until Brexit drama is done. Also avoiding most exotic pairs except USDMXN.
Drawdown can go higher (20-25%) but trying to keep it under (10-15%). Loss are usually avoided by scaling-in to positions but when it goes bad, trying to close them with less than 4% loss (3% loss was taken in February after a bad trade). An average of 2-3 trades per pair can be taken, sometimes more. Exception is Gold where there can be a lot of trades, 15-20+ trades at once. If you are not comfortable, please disable Gold (XAUUSD)
There is no fix grid or martingale here. *History show martingale in January but the EA causing this was stopped and no other EA doing grid or martingale will be added.
Warnings: If following with less than 7000$, please disable XAUUSD (Gold) and all indices (US30, SPX500, etc...) unless you are comfortable with the possible large drawdown. This signal is NOT FIFO compliant and can hedge.