TON + 80% profit (20x leverage) + 160% profit (40x leverage) achieved for VIP members in 3 hours. Next solid setup closed in our VIP ✅ Contact @CFTrader for more informations about it
Читать полностью…Premium Results Update! We achieved 375% profit only today and more than 4200% gain in last 7 trading days! Each signal can be confirmed on the channel with the results. If You are interested in our service then check pinned message for more informations.
Читать полностью…Btw. By clicking on pinned message You can check by Yourself every trading day (one by one) from the past.
Читать полностью…Today VIP channel Results + 375% 🔥
BTC (leverage) + 80%
ETH (leverage) + 80%
WIF (leverage) + 100%
DODO + 30%
FIDA + 45%
VIC + 30% (20% today)
IRIS (spot) + 20%
375% profit achieved today! 🎰🎰
Yesterday (19.08) + 880%
(17-18.08) - weekend rest
(16.08) + 450%
(15.08) + 745%
(14.08) + 300%
(13.08) + 555%
(12.08) + 935%
More than 4200% gain in last 7 trading days ✅
Scroll up and check our work or look at 👇
All results from past @resultselite
VIP access contact @CFTrader
CF Leverage Trading Signal
Pair: SUI/USDT #LONG
Leverage: cross 40x (not more than 3% balance)
Targets - 0.885 - 0.9 - 0.92 - 0.95
Entry : 0.871 - 0.875
Stop loss : 0.85
Coin ~ IRIS
Exchange : Binance
BUY : 22 - 24
Short Term Targets: 25 - 27 - 30
Mid Term Targets: 35 - 40 - 48
Stop loss: under 18
WIF reached 1.6194! Tp1 done. With 25x leverage this is + 100% profit achieved for us in 2.5 hours. Congratulations
Читать полностью…Risk management is a set of guidelines designed to define the acceptable level of losses and outline the trader's actions when such losses are reached.
The role of risk management is to safeguard the trader from entering a state of tilt.
Tilt refers to an emotional condition where a trader loses the ability to make rational decisions, allowing emotions to drive their trading choices. In this state, impulsive and unsystematic trades are made in an attempt to recover losses. Risk management should intervene by signaling a "stop" to prevent unfavorable outcomes.
Risk management principles should be straightforward and clear, ensuring that in stressful situations, the trader can make the right decisions quickly without needing to deliberate for long.
Percentage of Profitable Trades
The percentage of profitable trades is a significant metric, but it is not meaningful on its own. For instance, a trader might achieve a 90% win rate, but if their losses are consistently ten times larger than their gains, it becomes problematic. Many traders tend to lock in profits too quickly and allow losses to grow unchecked.
Additionally, an extremely high percentage of profitable trades may indicate difficulty in handling losing trades. When losses do occur, traders may panic, attempt to "avoid" them at all costs, and end up trading emotionally, often leading to costly errors.
Did you know that trading systems with a success rate of 50%, 40%, or even lower can still generate consistent profits? The relationship between profitability and the risk/reward ratio is illustrated in the chart below.
Risk to Reward Ratio
The risk-to-reward ratio, as the name suggests, compares the potential profit with the potential loss in a single trade. To calculate this ratio, a trader measures the distance between the entry point and the stop loss (potential loss) and compares it to the distance between the entry point and take profit (potential gain).
The good news is that this ratio is within the trader's control.
A trader can tighten the stop loss or set a wider profit-taking target to improve the risk-to-reward ratio. This strategy reduces the required percentage of profitable trades to stay in the green. However, it also means that the price may hit the stop loss more easily, which can lower the overall return of the trading strategy.
Conversely, a trader might opt for a wider stop loss and a tighter profit-taking target. This approach lowers the risk-reward ratio, making it easier for the price to reach the target and providing more room for error in trades, as the need for precision is reduced with a wider stop loss. This can also result in a higher overall percentage of profitable trades.
Emotional Stability
Emotions and trading psychology are crucial aspects of trading.
Risk management influences the amount of positive and negative emotions a trader experiences with their strategy. A system with high profits may be satisfying, but a single loss can be demoralizing if the trader is not accustomed to handling losses.
Moreover, high-return systems often have a low risk-to-reward ratio, which can be challenging because profits and losses are similar in size. Recovering from a losing streak and bouncing back from losses will take longer in such scenarios.
Professional traders typically use a system with a high risk-to-reward ratio. These traders can stay in profitable trades for extended periods. When one profitable trade covers the losses of 4, 5, or even 7 losing trades, the perception of losses changes entirely. The fear of losses diminishes because the trader knows that one good trade can offset them.
It’s also possible to profit using a risk-to-reward ratio of 1:2. There’s no need to constantly strive for massive profits.
CF Leverage Trading Signal
Pair: WIF/USDT #LONG
Leverage: cross 25x (not more than 3% balance)
Targets - 1.6 - 1.7 - 1.85 - 2.0
Entry : 1.55 - 1.57
Stop loss :1.4
Today VIP channel Results + 880% 🔥
BTC (leverage) + 120%
BTC (2nd leverage trade) + 100%
BTC (3rd leverage trade) - 30%
ETH (leverage) + 280%
SUI (leverage) + 100%
ALGD (spot) + 15%
IDEX (spot) + 20%
GALA (spot) + 20%
RARE (spot) + 400% (255% today)
880% profit achieved today! 🎰🎰
(17-18.08) - weekend rest
(16.08) + 450%
(15.08) + 745%
(14.08) + 300%
(13.08) + 555%
(12.08) + 935%
More than 3850% gain in last 6 trading days ✅
Scroll up and check our work or look at 👇
All results from past @resultselite
VIP access contact @CFTrader
Average BTC long 62300 - 62400 with plan. Adding 2% more ✅ Average entry 62700. Overall stop loss 61690
Читать полностью…🔥 Telegram CEO Pavel Durov 📱 may be released as early as Wednesday, says French prosecutors, according to CoinDesk.
Читать полностью…There is some bigger liquidity around 62300 - 62400. Im moving Stop loss to 61780. In this way we should avoid wick fishing. Possible that around this price i will add 2% More to position ✅
Читать полностью…IRIS some inside accumulation detected. Worth to have it against BTC ✅ Btw. It already reached 27 after my call. Thats + 15-20% profit till now. But im holding it for more
Читать полностью…I think its better to cut SUI here with small profit. We will back to trading from tommorow morning ✅ That was good trading day. Not that good as yesterday but we still manage to book gain 👌
Читать полностью…SUI holding so strong ✅ Expecting bounce towards $1 if we hold 0.85 level. This setup giving us nice R:R
Читать полностью…BTC/ETH + 160% profit achieved for VIP members in 1 hour ✅ Both closed with solid return 🔥🤟 VIP access - @CFTrader
Читать полностью…We closed SUI with 100% profit (40x leverage) in just 10 minutes ✅🔥 Thats the power of our VIP! Even copy-cats didnt catch it 😂 Only original VIP members do! VIP access - @CFTrader
Читать полностью…Coin ~ INJ
Exchange : Binance
BUY : 2900 - 3100
Short Term Targets: 3300 - 3600 - 3900
Mid Term Targets: 4500 - 5100 - 5700
Stop loss: under 2450