pergh..kisah benar...tu..kalau dalam kes nie kompem aku salah kan MM...tak jaga..tak kira la ape methode teknik sekalipun...yg di guna..kalau MM salah hancus acc...sbb ni membabitkan psikologi..dalam trading...ramai dikalangan trader lebih gemar fikirkan reward yg bakal die dapat tanpa memikirkan risk yg di ambil..so bila float..gundah gulana...kalau guna MM yg betul..aku rase takde masalah kot nak cutloss ..tak perlu nak mintak rescue..tul tak bro babu...
ala...br float 400-500 usd dah goyang ker..meh aku tolong MC kan acc tu lagi...bab nie mmg aku suke...
dalam trading nie...Paling penting bagi aku la KEne accept Loss in part of trading game...aku dah jumpe ramai jenis org ...yg susah nak accept benda nie..maybe ada yg br lagi dalam trading yg lame pun ada gak mcm nie..adeh..tepuk dada tanya minda bro2 semua..
*Sy tak bagi makan aper kat org sampai muntah2..

cuma sy nye cara nie pelik sikit hahahahaha....tu yg org muntah..kot tapi benda tu simple je sy rasa..#:-S
saya setuju dgn fising... there is no need to point finger here. one finger pointing out, 5 fingers pointing to ourselves.
risiko trading dah dijelaskan. risiko utk no 3 pon dah di bagitau.
money management tu yg buat kita panik. kalau macam babu takpe la. bayar spread pon dah 1500usd bila OP. ni takat 500usd float, dia bukak satu bom, amik 5 pip, clear float.
we need to take responsibility of our own trade.
no excuse, no complaint, no blame.
its your money... its your finger that clicked the mouse.
teruja nak untung cepat sangat. FYI, my ROI per month is only 50% sahaja. i do not risk my money.. 50% tu cukup dah nak cover expenses dengan selesa. depend la modal berapa.
sebab tu org cakap, kalau kail panjang sejengkal, lautan dalam jangan di duga..
trading with over-margin usually a sheer LUCK. boleh jadik GAMBLE tu.. hati hati..
trading is a business. take great care of your risk reward ration.
the MAIN POINT OF BASKET SYSTEM IS TO GET MORE RETURN FROM A LITTLE MARGIN USED. instead of increasing the volume/lot, we increase the pip yields. so, it is a LOA risk system if you have the discipline.
for any method we learn, regardless over Face to face, or over the web, or by the book..
WAJIB -> demo dulu sampai lebam before jumping into live with excitemnt to get the same result as per shown in the screen shot.
after a couple months demo, then test with NANO lot first. get consistent pips result then only you put more value on the pips.
i traded NANO lot for a month, then another month micro lot, then now only MINI lot.
boleh la OP dengan usd 1 per pip.
kalau 500 pips floating tu sebenar nya biasa.. kalau modal 5000, baru 10% drawdown.. kalau OP 10 sen, 10 post pon, kena jadik 5000 pips tu utk jadi 500usd. damage control kena ada.. set Stop LOss kalau acct tak cukup besar utk float 5000 pips.
biasanye, i would recomend 500pips utk SL bagi currency block trade. kalau OP 2 currency, contoh usd dan yen, kena bahagi lagi la maximum MM exposure tuh.
jangan plak modal 1000usd - exposure max 5%. utk leverage 1:200,
leh la OP total of 1 mini lot = usd 1 per pips kalau USD pairs.
kalau macam ni, utk trade yen blok, 1.00 bahagi la 7. kalau nak trade both yen dgn USD at the same time , 1.00 tu bahagi la 13 (tolak USDJPY)..
ada faham tak?
hopefully this helps..
kalau dah ada "TAMAKTOLOGY"... sudah lah nak tolong.. rescue team takkan nak tolong everytime ada floating due to our mistake and stubborness to cutloss.
let your profit run, cut your losses short. not the other way around.. dah tau naik salah bas... nak gi JB, dah nampak signboard tanjung malim.. takkan nak tunggu sampai kedah baru nak tukar bas? THE MARKET DOES NOT KNOW YOU.
good luck guys
p/s: i will release EA based IA_v3 soon. no more lagging... thanks to aiman..