Data Analyst

CCI-RSI

Specification:

Indicator: CCI and RSI

Timeframe: H4

Minimum Investment amount: 10k

Recommended Investment amount: 15k

Maximum Investment amount: 20k

Drawdown (average for 12 months): 5% and less with 15k investment

Expected Return per month (average for 12 months): 1.5%-10% with 15k investment

Description:

This strategy is based on the CCI and RSI indicators.

The drawdown of this strategy is low because the timeframe used is on a 4-hour candle.

Most of the time, the trades take longer to close.

OutBoll

Specification:

Indicator: Bollinger

Timeframe: H1

Minimum Investment amount: 25k

Recommended Investment amount: 35k

Maximum Investment amount: 50k

Drawdown (average for 12 months): 20% and less with 35k investment

Expected Return per month (average for 12 months): 2.5%-20% with 35k investment

Description:

This strategy is based on the Bollinger indicator.

The drawdown could be high for some months, but it will generate a lot more profits.

The trades close fast and don't hold for a long time.

Stochastic

Specification:

Indicator: Stochastic

Timeframe: H1

Minimum Investment Amount: 15k

Recommended Investment amount: 25k

Maximum Investment amount: 30k

Drawdown (average for 12 months): 10% and less with 25k investment

Expected Return per month (average for 12 months): 1.5%-10% with 25k investment

Description:

This strategy is based on the Stochastic indicator.

The drawdown could be high for some months, but it will generate a lot more profits.

The trades close fast and don't hold for a long time.

MFI

Specification:

Indicator: MFI

Timeframe: H1

Minimum Investment amount: 25k

Recommended Investment amount: 35k

Maximum Investment amount: 50k

Drawdown (average for 12 months): 20% and less with 35k investment

Expected Return per month (average for 12 months): 2.5%-20% with 35k investment

Description:

This strategy is based on the MFI indicator.

The drawdown could be high for some months, but it will generate a lot more profits.

The trades close fast and don't hold for a long time.

Pivot

Specification:

Indicator: Pivot

Timeframe: H4

Minimum Investment amount: 25k

Recommended Investment amount: 35k

Maximum Investment amount: 50k

Drawdown (average for 12 months): 20% and less with 35k investment

Expected Return per month (average for 12 months): 2.5%-20% with 35k investment

Description:

This strategy is based on the Pivot lines.

The drawdown could be high for some months, but it will generate a lot more profits.

Trades will take longer to close and there will be open trades most of the time.

More Details

Indicator: It's the indicator used for the strategy.

 

Timeframe: It's the timeframe of the strategy.

 

Minimum Investment: It's the amount needed to start the investors pool or stand alone account if you have the capital to have your own investment pool.

 

Recommended Investment: It's the recommended amount for running your own investment pool.

 

Maximum Investment: It's the amount for a good profit and good drawdown. Over that amount, the profit in term of $ will stay around the same, but the drawdown will be lower.

Drawdown: It's the 12-months average drawdown you could have on the account

Expected Return: It's the 12-months average expected return you could have on the account.

Risk Disclosure:


Trading contains substantial risk and is not for every investor. Risk capital is money that can be lost without jeopardizing ones financial security or life style. Only risk capital should be used for trading and only those with sufficient risk capital should consider trading. Past performance is not necessarily indicative of future results.