UPDATE On My Darwinex Zero Journey | Analyzing Biggest Darwinex Accounts

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Marko's Trading Journey

Marko's Trading Journey

Күн бұрын

Пікірлер: 19
@monishvnaidu
@monishvnaidu 9 күн бұрын
Does your return/Drawdown stats from the calibration phase carry forward to the silver phase? Or does it reset to 0/0 once you’re in the silver phase?
@markostradingjourney
@markostradingjourney 9 күн бұрын
It does carry forward but your results become risk adjusted so that it makes the whole strategy more safe for investors. If your drawdown is high then it will lower the risk per trade. So even if you are putting in 1% risk into Metatrader, Darwinex may be only executing your trades with 0.5% risk per trade.
@heeweegoo
@heeweegoo 15 күн бұрын
Why don’t you take more trades and scale down to the minimum position size to finish the calibration phase sooner?
@markostradingjourney
@markostradingjourney 15 күн бұрын
I don't want to rush it. I want to 100% follow my trading plan and have a clean track record. :)
@mmathew2620
@mmathew2620 15 күн бұрын
Could you please clarify how this 15% is calculated on, is is based on the amount under "Asset Under Management". In the case of THA, if he makes 1% on "Asset Under Management"( 28,556,273 Euro,) that is around 285,562 Euro, 15% of that is 42,834 Euro??
@markostradingjourney
@markostradingjourney 9 күн бұрын
Your calculation is correct! Yes we are looking at the all assets under management. Both Darwinex and investor funds combined.
@Paid2TradeFX
@Paid2TradeFX Ай бұрын
Good content your one of the few realistic traders. Keep up the good work bro
@markostradingjourney
@markostradingjourney Ай бұрын
Thank you very much for the feedback bro! :)
@solkahila
@solkahila Ай бұрын
something here doesnt add up lol from jan 18 till today 75% i chacked the us 500 194% upto today if you cant even win the index whats the point of doing that
@markostradingjourney
@markostradingjourney Ай бұрын
Any profit should be celebrated. Its not outstanding results, but most traders can't even make that! Also, there is always room for improvement so that trader may start beating the S&P in the next few years. The S&P has its huge drawdown periods every few decades!
@solkahila
@solkahila Ай бұрын
@@markostradingjourney which in that times when you keep buying it you know its going to revarse
@markostradingjourney
@markostradingjourney Ай бұрын
@@solkahila Trading is not that simple. Most people just buy the S&P500 and hold it for 20 years. In those 20 years you will for sure experience huge drawdown with a buy and hold strategy. While with a trading strategy your drawdown may be smaller.
@solkahila
@solkahila Ай бұрын
@@markostradingjourney i see trading as income and sp 500 as invetment casue trading is risky and you can lose all your money it says in any levarage broker lolz
@onuorahempire
@onuorahempire Ай бұрын
What account size are you given for the calibration stage ?
@markostradingjourney
@markostradingjourney Ай бұрын
You get a 100k USD demo account. :)
@James-fn5ho
@James-fn5ho 24 күн бұрын
2 days ago Hi. What if I open a trade for a symbol that isn’t on one of the slave accounts? Or if the slave account doesn’t allow an overnight position or weekend position for that symbol, but the master does? Thanks!
@markostradingjourney
@markostradingjourney 23 күн бұрын
I think the trade copier will return an error. Best to check with the trade copier support team!
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