5 - The risk./reward is acceptable:
Looking at your signal start, http://www.signalstart.com/analysis/profit-maker/29644, your closed trades denote lot sizes of 0.02.
Your current open trades denote many that are losing 2%. This would suggests a loss of approximately 400 pips?
So you think a risk reward of 20:1 is good? This is outstandingly bad.
7 - I accept to lose:
But have you not blown many accounts where you did not cut losers? Have you not lost subscribers hundreds/thousands?
Even you current account on signalstart and on MQL5, both have heavy losers - when do you cut these? When you margin call?