I seem to be getting wicked out on the 20/80 setting on many trades. Next week I am going to start looking at the last 2 months of trading, where I have gotten in and the best risk reward for that trade. This will be a long process but, the goal is to have each pair with its own R/R. Maximizing profits while still limiting risks. Next, I plan to change my plan where only the top 5 pairs are traded in my real account and the rest in my practice account. I will keep you all updated about these changes :)
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