In this portfolio we will focus on S&P 500, Nasdaq 100, Dow Jones Ind, Russell 2000,DAX 30 and FTSE 100 with a
risk capital allocation of USD$50,000.00 for each accountIn this program we will focus on.
The amount of an account's net assets committed to margin in this Program will vary as a result of market volatility, among other reasons.
On average, three percent (3%) to forty percent (40%) of net assets of an account will be committed to margin.
Our risk per trade will be between 2% - 5% of free Equity. The period used to execute trades varies from 30 minutes to the daily chart.
The length of the trades will depend on the stop loss settings and the target profit. On average the length of trades should be between five days and one month.
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