gooddeal | Forex Optimum

gooddeal

Уровень риска: 2
Риск
  • 5
  • 4
  • 3
  • 2
  • 1
Доходность, %
Волатильность дневной доходности
За все время
17.21%
За 14 дней
4.34%
Просадка
Текущая просадка
0.00%
Максимальная просадка
15.63%
Фактор восстановления
31.37
Прибыль
Максимальная дневная прибыль
140.41%
Средняя дневная прибыль
5.51%
Убыток
Максимальный дневной убыток
15.28%
Средний дневной убыток
2.67%
Коэффициент Шарпа
28.50
Основная информация
Инвестировать
Номер контракта: MB-26980761
Комиссия трейдера: 30%
 
Тактика торговли

We are trader pass a lengthy and transparent auditing process before activate for investors. Many years of due diligence cycles have allowed us to refine the methodologies that we practice. Continuous improvement is a constant and ongoing process to ensure that we continue to meet our quality standards.

Дополнительная информация

1.Based on past performance result, average return is 70% to 150% per year, however the result will be different from time to time. we try to minimize the risk as low as possible. 2. As for the trading, we only enter the market when the signal hits the best opportunity to gain the maximum profit for you, so be patient when it is not open trade for day, once trade opened you will be rewarded profit with your patient. 3.Our trade will not carry forward to next trading week. Thus you can enjoy your profit by withdrawing it weekly

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