My focus is on developing systematic trading solutions with clear trading logic, disciplined risk management, and robust execution handling. I work primarily with Forex, Gold, and Cryptocurrency markets.
Each system is developed through a structured process that includes strategy design, implementation, backtesting, optimization, stress testing, and continuous improvement. Particular attention is given to execution conditions, market volatility, drawdown control, position management, and protection against common trading and execution issues.
I believe that a good automated trading system should not rely on unrealistic promises or excessive risk. Instead, it should have clearly defined rules, understandable behavior, appropriate risk controls, and results that can be independently evaluated.
My approach is based on continuous research, testing, and refinement. I aim to provide practical and reliable trading tools for traders who value transparency, systematic execution, and responsible risk management.
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