PAMM STRATEGY CONDITIONS LBQ1311-XAUUSD

Manager

Minimum investment amount — 50000.0 USD

Managers's fee 50.0%

Strategy description

策略理念:计划你的交易,交易你的计划即可,尊重盘面无分别心对待执行!

策略逻辑:做多之前先言空,做空之前先言多,这样逻辑才算圆满!尊重当前对比过去,先画天一致多空引导(收盘确定和站稳k线),然后时段认可识别,然后测试区间识别,然后资金流入识别,然后识别自然回撤点(前后顶底测试才有效),然后识别一股资金容量,然后多周期识别,然后当天基本面数据识别,然后识别天关系(包含与否),然后识别波动力量势能是否衰减,然后结构(模型123)识别判断强弱,最终判断方向,大数据之前是否有预期资金的参与或者提前布局,如果有就可以跟随提前布局,否则必须等待大数据发布后做单(数据发布后进场做单),等数据发布后k线收盘后出现衰竭信号再尊重天一致位置附近进场做单,止损严格设置并且执行,止盈尊重盘面反向压制力或者连续性衰竭或者盈亏比执行,做完一单必须写盘后总结!

策略统计:长达十年以上客观统计数据得出了确定性结论,胜率80%以上,赔率1:1-4:1区间,连亏次数5次以内(单品种),交易频次:1周交易次数≤15,5月累计交易次数≤60!

策略特征: 能准确的把握不同周期不同趋势的买卖时机,精准扑捉市场稍众即逝的交易机会,尤其擅长对交易时机的选择及交易风险的把控,始终追求以最小的交易风险博取认知范围内最大的交易利润!

策略风控:

50000美金以内:

采用一季度绝对风控值,60个交易日,风控额度800美金以内,主要交易品种为黄金,原油,镑美,持仓只有一个品种,一个品种了结后再进行下一个交易机会的选择!

策略执行:采用回合制交易,每个回合制3次交易机会,第一单风控额度800美金,盈利1600美金,第二单用盈利1600美金作为风控额度,盈利3200美金,第三单用盈利4800美金作为风控额度,盈利9600美金整体回合制盈利14400美金,此回合制完成!然后再继续下一个回合制交易即可!

50000美金以上:

采用一年绝对风控值,一年250个交易日,单日亏损额度200美金以内,主要交易品种为黄金,原油,镑美,持仓只有一个品种,一个品种了结后再进行下一个交易机会的选择!

策略执行:采用回合制交易,每个回合制3次交易机会,第一单风控额度200美金,盈利400美金,第二单用盈利400美金作为风控额度,盈利800美金,第三单用盈利1200美金作为风控额度,盈利2400美金整体回合制盈利3600美金,此回合制完成!然后再继续下一个回合制交易即可!

友情提示:建议全额风险金订阅本策略,止损设置为50,感谢订阅!

Strategy: Plan your transaction, just trade your plan, respect the disk and treat it with no distinction!

Strategy: Speak empty before going long, and speak more before going short, so that logic can be considered complete! Respect the current comparison with the past, first draw the sky-consistent long-short guidance (closing confirmation and stabilizing K-line), then identify the time period, then identify the test interval, then identify the capital inflow, then identify the natural retracement point (the front and back top and bottom tests are effective), then identify the capital capacity, then identify it in multiple periods, then identify the fundamental data of the day, then identify the relationship between the sky (including or not), and then identify whether the potential energy of fluctuation force is attenuated. Then, the structure (model 123) identifies and judges the strength, finally judges the direction, whether there is expected fund participation or advance layout before big data, if there is, it can follow the advance layout, otherwise, it is necessary to wait for the big data to be released (enter the market to make orders after the data is released), wait for the exhaustion signal to appear after the closing of K line after data release, and then respect the entry to make orders near the same position in the sky. Stop loss is strictly set and executed. Stop profit respects the reverse suppression force of the disk or continuous exhaustion or profit-loss ratio execution, and must write the order after completion.

Statistics: The objective statistical data for more than ten years have drawn a definite conclusion, with the winning rate of over 80%, odds in the range of 1:1-4:1, the number of consecutive losses less than 5 times (single variety), trading frequency: 1 weekly trading times less than 15 times, 5 monthly cumulative trading times less than 60 times!

Strategy: It can accurately grasp the trading opportunities in different cycles and trends, accurately catch the fleeting trading opportunities in the market, and is especially good at the choice of trading opportunities and the control of trading risks, and always pursues the maximum trading profits within the cognitive range with the minimum trading risks!

Strategic risk control:

Within $5000:

Adopt the absolute risk control value in the first quarter, 60 trading days, and the single-day risk control limit is less than 800 US dollars. The main trading varieties are gold, crude oil and GBM. There is only one variety of positions, and the next trading opportunity will be selected after one variety is settled!

Strategy implementation: turn-based trading is adopted, with 3 trading opportunities per turn-based system. The first order has a risk control quota of 800 US dollars, with a profit of 1,600 US dollars, the second order uses a profit of 1,600 US dollars as a risk control quota, with a profit of 3,200 US dollars, and the third order uses a profit of 4,800 US dollars as a risk control quota, with a profit of 9,600 US dollars and an overall profit of 14,400 US dollars. This turn-based system is completed! Then continue the next turn-based transaction!

Over $5000:

Adopt the absolute risk control value of one year, 250 trading days a year, and the daily loss limit is less than US$ 200. The main trading varieties are gold, crude oil and GBM. There is only one variety of positions, and the next trading opportunity will be selected after one variety is settled!

Strategy implementation: turn-based trading is adopted, with 3 trading opportunities per turn-based system. The first order has a risk control quota of 200 US dollars and a profit of 400 US dollars, the second order uses a profit of 400 US dollars as a risk control quota and a profit of 800 US dollars, and the third order uses a profit of 1,200 US dollars as a risk control quota, with a profit of 2,400 US dollars and an overall profit of 3,600 US dollars. This turn-based system is completed! Then continue the next turn-based transaction!

Tips: It is recommended to subscribe to this strategy with full venture capital, with the stop loss set at 50. Thank you for subscribing!

Manager's PAMM accounts

[ Hasil ]
Strategi Jadual hasil Jumlah Sebulan Bilangan pelanggan Pengeluaran maksimum Dana Umur, hari Yuran Leverage maksimum
LBQ1311-XAUUSD

策略理念:计划你的交易,交易你的计划即可,尊重盘面无分别心对待执行!

策略逻辑:做多之前先言空,做空之前先言多,这样逻辑才算圆满!尊重当前对比过去,先画天一致多空引导(收盘确定和站稳k线),然后时段认可识别,然后测试区间识别,然后资金流入识别,然后识别自然回撤点(前后顶底测试才有效),然后识别一股资金容量,然后多周期识别,然后当天基本面数据识别,然后识别天关系(包含与否),然后识别波动力量势能是否衰减,然后结构(模型123)识别判断强弱,最终判断方向,大数据之前是否有预期资金的参与或者提前布局,如果有就可以跟随提前布局,否则必须等待大数据发布后做单(数据发布后进场做单),等数据发布后k线收盘后出现衰竭信号再尊重天一致位置附近进场做单,止损严格设置并且执行,止盈尊重盘面反向压制力或者连续性衰竭或者盈亏比执行,做完一单必须写盘后总结!

策略统计:长达十年以上客观统计数据得出了确定性结论,胜率80%以上,赔率1:1-4:1区间,连亏次数5次以内(单品种),交易频次:1周交易次数≤15,5月累计交易次数≤60!

策略特征: 能准确的把握不同周期不同趋势的买卖时机,精准扑捉市场稍众即逝的交易机会,尤其擅长对交易时机的选择及交易风险的把控,始终追求以最小的交易风险博取认知范围内最大的交易利润!

策略风控:

50000美金以内:

采用一季度绝对风控值,60个交易日,风控额度800美金以内,主要交易品种为黄金,原油,镑美,持仓只有一个品种,一个品种了结后再进行下一个交易机会的选择!

策略执行:采用回合制交易,每个回合制3次交易机会,第一单风控额度800美金,盈利1600美金,第二单用盈利1600美金作为风控额度,盈利3200美金,第三单用盈利4800美金作为风控额度,盈利9600美金整体回合制盈利14400美金,此回合制完成!然后再继续下一个回合制交易即可!

50000美金以上:

采用一年绝对风控值,一年250个交易日,单日亏损额度200美金以内,主要交易品种为黄金,原油,镑美,持仓只有一个品种,一个品种了结后再进行下一个交易机会的选择!

策略执行:采用回合制交易,每个回合制3次交易机会,第一单风控额度200美金,盈利400美金,第二单用盈利400美金作为风控额度,盈利800美金,第三单用盈利1200美金作为风控额度,盈利2400美金整体回合制盈利3600美金,此回合制完成!然后再继续下一个回合制交易即可!

友情提示:建议全额风险金订阅本策略,止损设置为50,感谢订阅!

Strategy: Plan your transaction, just trade your plan, respect the disk and treat it with no distinction!

Strategy: Speak empty before going long, and speak more before going short, so that logic can be considered complete! Respect the current comparison with the past, first draw the sky-consistent long-short guidance (closing confirmation and stabilizing K-line), then identify the time period, then identify the test interval, then identify the capital inflow, then identify the natural retracement point (the front and back top and bottom tests are effective), then identify the capital capacity, then identify it in multiple periods, then identify the fundamental data of the day, then identify the relationship between the sky (including or not), and then identify whether the potential energy of fluctuation force is attenuated. Then, the structure (model 123) identifies and judges the strength, finally judges the direction, whether there is expected fund participation or advance layout before big data, if there is, it can follow the advance layout, otherwise, it is necessary to wait for the big data to be released (enter the market to make orders after the data is released), wait for the exhaustion signal to appear after the closing of K line after data release, and then respect the entry to make orders near the same position in the sky. Stop loss is strictly set and executed. Stop profit respects the reverse suppression force of the disk or continuous exhaustion or profit-loss ratio execution, and must write the order after completion.

Statistics: The objective statistical data for more than ten years have drawn a definite conclusion, with the winning rate of over 80%, odds in the range of 1:1-4:1, the number of consecutive losses less than 5 times (single variety), trading frequency: 1 weekly trading times less than 15 times, 5 monthly cumulative trading times less than 60 times!

Strategy: It can accurately grasp the trading opportunities in different cycles and trends, accurately catch the fleeting trading opportunities in the market, and is especially good at the choice of trading opportunities and the control of trading risks, and always pursues the maximum trading profits within the cognitive range with the minimum trading risks!

Strategic risk control:

Within $5000:

Adopt the absolute risk control value in the first quarter, 60 trading days, and the single-day risk control limit is less than 800 US dollars. The main trading varieties are gold, crude oil and GBM. There is only one variety of positions, and the next trading opportunity will be selected after one variety is settled!

Strategy implementation: turn-based trading is adopted, with 3 trading opportunities per turn-based system. The first order has a risk control quota of 800 US dollars, with a profit of 1,600 US dollars, the second order uses a profit of 1,600 US dollars as a risk control quota, with a profit of 3,200 US dollars, and the third order uses a profit of 4,800 US dollars as a risk control quota, with a profit of 9,600 US dollars and an overall profit of 14,400 US dollars. This turn-based system is completed! Then continue the next turn-based transaction!

Over $5000:

Adopt the absolute risk control value of one year, 250 trading days a year, and the daily loss limit is less than US$ 200. The main trading varieties are gold, crude oil and GBM. There is only one variety of positions, and the next trading opportunity will be selected after one variety is settled!

Strategy implementation: turn-based trading is adopted, with 3 trading opportunities per turn-based system. The first order has a risk control quota of 200 US dollars and a profit of 400 US dollars, the second order uses a profit of 400 US dollars as a risk control quota and a profit of 800 US dollars, and the third order uses a profit of 1,200 US dollars as a risk control quota, with a profit of 2,400 US dollars and an overall profit of 3,600 US dollars. This turn-based system is completed! Then continue the next turn-based transaction!

Tips: It is recommended to subscribe to this strategy with full venture capital, with the stop loss set at 50. Thank you for subscribing!


USD
27.26% 0.00% 0 -1.61% 0.00 USD 487 50.0% 1:500 Melabur
XAUUSD-1311


策略理念:计划你的交易,交易你的计划即可,尊重盘面无分别心对待执行!

策略逻辑:做多之前先言空,做空之前先言多,这样逻辑才算圆满!尊重当前对比过去,先画天一致多空引导(收盘确定和站稳k线),然后时段认可识别,然后测试区间识别,然后资金流入识别,然后识别自然回撤点(前后顶底测试才有效),然后识别一股资金容量,然后多周期识别,然后当天基本面数据识别,然后识别天关系(包含与否),然后识别波动力量势能是否衰减,然后结构(模型123)识别判断强弱,最终判断方向,大数据之前是否有预期资金的参与或者提前布局,如果有就可以跟随提前布局,否则必须等待大数据发布后做单(数据发布后进场做单),等数据发布后k线收盘后出现衰竭信号再尊重天一致位置附近进场做单,止损严格设置并且执行,止盈尊重盘面反向压制力或者连续性衰竭或者盈亏比执行,做完一单必须写盘后总结!

策略统计:长达十年以上客观统计数据得出了确定性结论,胜率80%以上,赔率1:1-4:1区间,连亏次数5次以内(单品种),交易频次:1次≤周交易次数≤15次,5次≤月累计交易次数≤60次!

策略特征: 能准确的把握不同周期不同趋势的买卖时机,精准扑捉市场稍众即逝的交易机会,尤其擅长对交易时机的选择及交易风险的把控,始终追求以最小的交易风险博取认知范围内最大的交易利润!

策略风控:

50000美金以内:

采用一季度绝对风控值,60个交易日,风控额度800美金以内,主要交易品种为黄金,原油,镑美,持仓只有一个品种,一个品种了结后再进行下一个交易机会的选择!

策略执行:采用回合制交易,每个回合制3次交易机会,第一单风控额度800美金,盈利1600美金,第二单用盈利1600美金作为风控额度,盈利3200美金,第三单用盈利4800美金作为风控额度,盈利9600美金整体回合制盈利14400美金,此回合制完成!然后再继续下一个回合制交易即可!

50000美金以上:

采用一年绝对风控值,一年250个交易日,单日亏损额度200美金以内,主要交易品种为黄金,原油,镑美,持仓只有一个品种,一个品种了结后再进行下一个交易机会的选择!

策略执行:采用回合制交易,每个回合制3次交易机会,第一单风控额度200美金,盈利400美金,第二单用盈利400美金作为风控额度,盈利800美金,第三单用盈利1200美金作为风控额度,盈利2400美金整体回合制盈利3600美金,此回合制完成!然后再继续下一个回合制交易即可!

友情提示:建议全额风险金订阅本策略,止损设置为50,感谢订阅!

Strategy: Plan your transaction, just trade your plan, respect the disk and treat it with no distinction!

Strategy: Speak empty before going long, and speak more before going short, so that logic can be considered complete! Respect the current comparison with the past, first draw the sky-consistent long-short guidance (closing confirmation and stabilizing K-line), then identify the time period, then identify the test interval, then identify the capital inflow, then identify the natural retracement point (the front and back top and bottom tests are effective), then identify the capital capacity, then identify it in multiple periods, then identify the fundamental data of the day, then identify the relationship between the sky (including or not), and then identify whether the potential energy of fluctuation force is attenuated. Then, the structure (model 123) identifies and judges the strength, finally judges the direction, whether there is expected fund participation or advance layout before big data, if there is, it can follow the advance layout, otherwise, it is necessary to wait for the big data to be released (enter the market to make orders after the data is released), wait for the exhaustion signal to appear after the closing of K line after data release, and then respect the entry to make orders near the same position in the sky. Stop loss is strictly set and executed. Stop profit respects the reverse suppression force of the disk or continuous exhaustion or profit-loss ratio execution, and must write the order after completion.

Statistics: The objective statistical data for more than ten years have drawn a definite conclusion, with the winning rate of over 80%, odds in the range of 1:1-4:1, the number of consecutive losses less than 5 times (single variety), trading frequency: 1 ≤ weekly trading times less than 15 times, 5 ≤ monthly cumulative trading times less than 60 times!

Strategy: It can accurately grasp the trading opportunities in different cycles and trends, accurately catch the fleeting trading opportunities in the market, and is especially good at the choice of trading opportunities and the control of trading risks, and always pursues the maximum trading profits within the cognitive range with the minimum trading risks!

Strategic risk control:

Within $5000:

Adopt the absolute risk control value in the first quarter, 60 trading days, and the single-day risk control limit is less than 800 US dollars. The main trading varieties are gold, crude oil and GBM. There is only one variety of positions, and the next trading opportunity will be selected after one variety is settled!

Strategy implementation: turn-based trading is adopted, with 3 trading opportunities per turn-based system. The first order has a risk control quota of 800 US dollars, with a profit of 1,600 US dollars, the second order uses a profit of 1,600 US dollars as a risk control quota, with a profit of 3,200 US dollars, and the third order uses a profit of 4,800 US dollars as a risk control quota, with a profit of 9,600 US dollars and an overall profit of 14,400 US dollars. This turn-based system is completed! Then continue the next turn-based transaction!

Over $5000:

Adopt the absolute risk control value of one year, 250 trading days a year, and the daily loss limit is less than US$ 200. The main trading varieties are gold, crude oil and GBM. There is only one variety of positions, and the next trading opportunity will be selected after one variety is settled!

Strategy implementation: turn-based trading is adopted, with 3 trading opportunities per turn-based system. The first order has a risk control quota of 200 US dollars and a profit of 400 US dollars, the second order uses a profit of 400 US dollars as a risk control quota and a profit of 800 US dollars, and the third order uses a profit of 1,200 US dollars as a risk control quota, with a profit of 2,400 US dollars and an overall profit of 3,600 US dollars. This turn-based system is completed! Then continue the next turn-based transaction!

Tips: It is recommended to subscribe to this strategy with full venture capital, with the stop loss set at 50. Thank you for subscribing!



USD
-86.96% 0.00% 0 -4.63% 0.00 USD 329 50.0% 1:500 Melabur
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