Total Profits: 17.44%
Avg Monthly Trades: 60
Profitability: 65%
Limited Time Only
3, 6 and 12 Months
Description: Our trading strategy entails executing three trades daily, adhering to a disciplined approach for consistent profitability. Employing a cost-average risk management strategy, we distribute risk across trades to mitigate potential losses effectively. Our focus centers on three currency pairs: AUDNZD, GBPUSD, and EURGBP, selected for their liquidity and volatility. With a target of 20 net pips per currency pair, we leverage risk management rules that aim for an average monthly return of 4-6%.
This approach ensures a balanced risk-reward ratio, enabling us to navigate the market with confidence while steadily growing our capital over time.
Total Profits: 20.83%
Avg Monthly Trades: 130
Profitability: 74%
Limited Time Only
3, 6 and 12 Months
Description: The Pip Hunter Trio has been designed to help traders from all levels of risk tolerance to achieve their trading goals. With as little as $1,000, investors can take advantage of the higher returns if they can manage their margin levels to ride the drawdown waves in certain periods of the year. We offer a range of different ways to manage the risk that fits the client’s risk tolerance and patience.
Our strategy is trading support and resistance off multiple time frames with a cost average calculated risk management approach. We only targeting 10 pips in the market unless it offers more.
Total Profits: 2,572 pips for 2024
Avg Monthly Trades: 350
Profitability: 63%
Limited Time Only
3, 6 and 12 Months
Description: Our trading strategy is founded upon the Dow Jones direction bias, ensuring alignment with broader market trends. With a risk on / risk off approach, we adeptly manage positions across 16 currency pairs, leveraging market dynamics for optimal outcomes. Our daily target of 100 pips underscores our commitment to consistent profitability, achieved through meticulous analysis and execution. We employ a cost average risk management strategy, strategically distributing risk across trades to safeguard against adverse market movements.
By combining these elements, we aim not only for profitability but also for resilience in navigating the complexities of the financial markets.
Total Profits: 1,264 pips for 2024
Avg Monthly Trades: 350
Profitability: 57%
Limited Time Only
3, 6 and 12 Months
Description: Our trading strategy is founded upon the DAX direction bias, ensuring alignment with broader market trends. With a risk on / risk off approach, we adeptly manage positions across 16 currency pairs, leveraging market dynamics for optimal outcomes. Our daily target of 100 pips underscores our commitment to consistent profitability, achieved through meticulous analysis and execution. We employ a cost average risk management strategy, strategically distributing risk across trades to safeguard against adverse market movements.
By combining these elements, we aim not only for profitability but also for resilience in navigating the complexities of the financial markets.
Total Profits: 40.5%
Avg Monthly Trades: 150
Profitability: 79%
Limited Time Only
3, 6 and 12 Months
Description: Our trading strategy revolves around identifying Wolfe Wave Patterns on smaller timeframes, capitalizing on their predictive potential for market reversals. Employing a cost-average risk management strategy, we systematically distribute risk across trades to mitigate potential losses. Stop losses, set at 0.1% per entry, act as crucial safeguards against adverse market movements. With a portfolio spanning 28 currency pairs, we meticulously analyze each for Wolfe Wave opportunities.
Our focus lies in targeting Wolfe Wave targets derived from the connection between wave 2 and 4, aiming for precise entry and exit points to optimize profitability and minimize risk.
Total Profits: 17.44%
Avg Monthly Trades: 60
Profitability: 65%
Description: Our trading strategy entails executing three trades daily, adhering to a disciplined approach for consistent profitability. Employing a cost-average risk management strategy, we distribute risk across trades to mitigate potential losses effectively. Our focus centers on three currency pairs: AUDNZD, GBPUSD, and EURGBP, selected for their liquidity and volatility. With a target of 20 net pips per currency pair, we leverage risk management rules that aim for an average monthly return of 4-6%.
This approach ensures a balanced risk-reward ratio, enabling us to navigate the market with confidence while steadily growing our capital over time.
Total Profits: 20.83%
Avg Monthly Trades: 130
Profitability: 74%
Description: The Pip Hunter Trio has been designed to help traders from all levels of risk tolerance to achieve their trading goals. With as little as $1,000, investors can take advantage of the higher returns if they can manage their margin levels to ride the drawdown waves in certain periods of the year. We offer a range of different ways to manage the risk that fits the client’s risk tolerance and patience.
Our strategy is trading support and resistance off multiple time frames with a cost average calculated risk management approach. We only targeting 10 pips in the market unless it offers more.