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5ssfx replied Sep 28, 2015This is high risk but we are getting a bit outside your upper band on DD here. 37% We have seen 650% compounded over 2 years though.
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5ssfx replied Sep 28, 2015We can do the same DD/risk. Just because leverage is there does not mean we have to use it. We offer our strategy on low risk, medium risk and high risk and we just mark up the risk per position. I have shown you the low and medium.
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5ssfx replied Sep 28, 2015Perfectly understandable. The brokers I know that would give that leverage on a PAMM account I would not trust to put clients funds with. 1:300 is where I am capped on leverage.
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5ssfx replied Sep 28, 2015I have this one too, this is a more aggressive version of the first one (trading *3 risk) that trades more pairs. The DD here is misleading, this will increase. 25% we have it over 2 years. The gains are representative though.
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5ssfx replied Sep 28, 2015Via another offshore broker we can do 1:300 leverage.
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5ssfx replied Sep 28, 2015With 100K I can get you processed as a sophisticated investor and you can use a NZ broker that is regulated with segregated accounts. They tend to cater more to institutional clientele than retail and are reputable. They were cleared for the ...
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5ssfx replied Sep 28, 2015Spread of returns (you will see it is mostly flat, as explained above)
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5ssfx replied Sep 28, 2015All trades always open with stops. Yes. Losing positions are never added to. No martingale or gridding activity. This typically takes risk exposure one or two days a month and that exposure is typically 2-3%. All trades close in under a day.
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5ssfx replied Sep 28, 2015Good
Excuse me, I also do prefer to look at things on a quarter basis at least but oftentimes in forums and such I meet people who have less sophisticated view points. So, the one I posted above; 5.2% deepest valley Averaging about 30-40% a year.What Are Investors Here Looking For?
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5ssfx replied Sep 28, 2015Are we closer to your appetite here str?
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5ssfx replied Sep 28, 2015How about optimum DD level to gains? You have a ratio? 30% is the extreme top I see, not really something you are willing to float close to too often.
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5ssfx replied Sep 28, 2015Ah, I was accounting for a 30% DD tolerance. On that, I'd be looking for at least 10%. Just based on the recovery factor. If you DD 30% and get under 10% on average a month your looking at a long time to get to HWM and you'd be better on a lower ...
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5ssfx replied Sep 28, 2015Most serious investors say this, by the way (for the benefit or others, I am sure srt knows). To put that another way, if I go to someone with a couple 100K to invest and I say 20-30% a month gains they will not even look. They will know the ...
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5ssfx replied Sep 28, 2015I agree with your perspective as well. Although there is demand for a lot more aggression than that haha. So, on the gains side of that, what's good? I'd presume you are in the 10-20% range on average monthly upside?
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5ssfx replied Sep 28, 2015Not just closed trades, to be perfectly clear. Real risk taken.
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