Profit per trade
-
Transactions per day
-
Position holding time
-
Profit per week
-
Total Profit
-
Period
-
Accuracy
-
Signals
-
Trending instrument statistic
Profit per trade
0.42%
Transactions per day
0.5
Position holding time
20.7
Profit per week
1.48%
Total Profit
33.66%
Period
159
Accuracy
72.84
Signals
81
Verified statistics
Yes
Signal duration
Medium term
Where signals are given
Telegram
EURUSD Sell
1:11
Numbers of SL
1
Numbers of TP
2.7
Weakly
$150
6 months
$600
Lifetime
$1000
No trial
$0
EOS/USD
2.1
DYDX/USD
1.53
DYDX/USD
1.43
AR/USD
1.43
AR/USD
1.43
INJ/USD
-1.25
DYDX/USD
-0.97
TOMO/USD
-0.9
DYDX/USD
-0.9
INJ/USD
-0.85
Trending instrument statistic
Introduction to Козырный Трейд
Козырный Трейд is a notable signal provider offering high-quality paid trading signals. Their performance metrics demonstrate consistent accuracy and profitability, making them a valuable resource for traders.
Key Performance Metrics
- Paid Signals: 81
- Accuracy: 72.84%
- Total Profit: 33.66%
- Trading Period: 159 days
Detailed Profitability Analysis
Over 159 days, Козырный Трейд has achieved a total profit of 33.66%, with an average profit per trade of 0.42%. The accuracy rate of 72.84% underscores the provider’s consistent performance in delivering profitable trades.
Strategic Insights
- Transaction Frequency: Approximately 0.5 transactions per day
- Position Holding Time: 20.7 hours on average
- Weekly Profit: 1.48%
Козырный Трейд employs a strategic approach characterized by moderate transaction frequency and optimal position holding times, ensuring steady weekly profits and effective risk management.
Performance Breakdown
Most Profitable Trades
- EOS/USD: 2.1%
- DYDX/USD: 1.53%
- AR/USD: 1.43%
These high-return trades illustrate Козырный Трейд's ability to identify and capitalize on profitable market opportunities, significantly contributing to overall profitability.
Least Profitable Trades
- INJ/USD: -1.25%
- TOMO/USD: -0.9%
While some trades result in losses, Козырный Трейд's effective risk management strategies mitigate significant impacts, maintaining overall profitability.
Market Approach and Trading Philosophy
Козырный Трейд’s trading philosophy emphasizes leveraging market trends and comprehensive analysis to generate reliable signals. Their approach includes:
- Comprehensive Market Analysis: Utilizing both technical and fundamental analysis to inform trading decisions.
- Risk Management: Implementing stringent practices to protect against substantial losses.
- Adaptability: Remaining agile and responsive to market changes to ensure signal relevance and profitability.
User Experience and Support
Козырный Трейд prioritizes user experience by offering:
- Timely Signal Delivery: Ensuring users receive signals promptly to capitalize on market opportunities.
- Educational Resources: Providing materials to help users understand and implement signals effectively.
- Customer Support: Offering responsive support to address any queries or issues users may encounter.
Recommendations
Козырный Трейд is highly recommended for traders seeking accurate and reliable trading signals. The provider’s strategic approach, robust performance metrics, and comprehensive user support make it an invaluable resource for enhancing trading outcomes. Traders can benefit from Козырный Трейд’s meticulous market analysis and disciplined risk management strategies, ensuring a balanced and profitable trading experience.