hi people!
iam new user of fx-auto .
i want to share the expertise with them.
my first weekly was excelent. im start 17/1/2007 (17 of jan)
i select a very conservative strategy.
select providers with best relationship between 2 parameters.
profits/maxDD.
example i select varios of QUANTS (carnival,MP40,BabyBear,minimac) because they win so much and support low maxdd against them.
my perfomance at today is +400!.
only one providers is very bad in this weekly (JOSF1 on eur/jpy 3trades bads....)
the rest is ok.
bye
iam new user of fx-auto .
i want to share the expertise with them.
my first weekly was excelent. im start 17/1/2007 (17 of jan)
i select a very conservative strategy.
select providers with best relationship between 2 parameters.
profits/maxDD.
example i select varios of QUANTS (carnival,MP40,BabyBear,minimac) because they win so much and support low maxdd against them.
my perfomance at today is +400!.
only one providers is very bad in this weekly (JOSF1 on eur/jpy 3trades bads....)
the rest is ok.
bye