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I need to explain my strategy in year 2017.

Mechanical system: Focused on currency indexes. 8 Currencies vs 28 pairs. System picks the signals relatively rarely. 2017 stats are: 12 trades; 100% win rate with 21 R gained during this process. SL is always in place. Monitored on 30 minutes. Lets see if we continue with this pace! Happy Happy Piggy
OF COURSE - I am waiting for the next drawdown as we speak and I do expect some problematic times.
Cheers
edit: Im doing backtesting from 2015 and will report when I finish.
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GBPUSD

With 3rd of November I got a signal to sell GBPUSD. That will last few days on my count.
We had a significant rise atm so Im gonna fade this move up.
Risking relatively high under 14%. As I do not have so many signals per my system. Sometimes only 1 per month.
Cheers
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kavaro 8 Nov.

Did close 2 times with no PL because I had to increase notionalč traded to try and win something :)

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CADCHF potential move down

People,
we can see on a weekly we are relatively stable in 0,70-0,77 territory. Latest movement is in the strenght of CHF which it actually does not surprises the current market stance. IF we will continue to trade moderatly lower we can expect levels around 0,7250.
On a daily we can see that there is potential for even lower play. Levels under 0,7 could be potential for trailing SL if there is a right money move.
Hope all well,
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