Trading Strategy

-We use technical and fundamental analysis to trade the market.

-We have an efficient Money Management plan that ensure we only risk a minimum amount per trade.


-We risk 0.5-4% on each trade with an average of 2.5% for most trades.

   Balance $5000 has a risk of 2.5% of 5000 = $125 per trade

-Risk to reward ratio is usually 1:2 for most trades.Meaning for every $ that we risk we aim to make $2

With a risk of $125 we aim to make 125 X 2 = $250 per trade OR MORE

-The monthly return on investment is usually between 4% -10% . It can be higher depending on the market conditions at the time.

-Leverage is between 50:1 and 100:1

- We use stop and limit loss orders due to the volatile and leveraged nature of this product.

-We look only for the best trades, those with the highest probability of making a good return on Investment.

-It should however be noted that past performance is not an indication of future results. The market has many variables and a change in a currency asset country can cause an equal effect in its currency asset.