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***Money Management comments about Q4 performance***


solandr

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As I predicted in my Q3 report the market has broken the BrExit price range and we saw a good volatility in Q4. The most part of trades was successfull. But the main profit was obtained on FOMC rates decision and on spike on thin market at the last trading day in 2016 year. The result that day was much better than it was expected by strategy as there was a sharp price movement that day. My trading strategy refreshed its historical high in Q4 twice.

 

Regarding the upcoming Q1 I can say that normally it is work time and market can continue its good movements. But I cannot exclude that some part of time in Q1 there may happen movements inside a price range with false breakouts. It may be not so pleasant for everyone but I recommend to look after monitoring of my trading and use the drawdowns as possibilities for additional investments. If you are the new investor for my strategy then it is good to divide the investment money on 3 parts and invest them one by one on each following drawdowns but not all money at one moment. Also remember the main idea not to invest money on high.

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