Risk options EuroTrader System

Transcription

Risk options EuroTrader System
Risk options EuroTrader System
Retail
(Optimised Risk)
Retail
(Mid Risk)
Private
(Mild Risk)
Institutional
(Low Risk)
Leverage: 40:1*
Leverage: 30:1*
Leverage: 20:1*
Leverage: 10:1*
Minimum deposit
£1,000 GBP
Minimum deposit
£2,000 GBP
Minimum deposit
£5,000 GBP
Minimum deposit
£10,000 GBP
Maximum Drawdown/Loss
60%
Maximum Drawdown/Loss
45%
Maximum Drawdown/Loss
30%
Maximum Drawdown/Loss
15%
Lot size =
0.4 per $1,000 USD
Lot size =
0.3 per $1,000 USD
Lot size =
0.2 per $1,000 USD
Lot size =
0.1 per $1,000 USD
Projected Net Client
Return
5% per month
Projected Net Client
Return
3.75% per month
Projected Net Client
Return
2.5% per month
Projected Net Client
Return
1.25% per month
*We reserve the right to adjust account risk settings and/or leverage at any given moment without notice to the client to ensure client funds are traded in the safest manner.
Returns are not guaranteed and predicted returns are based on averages over an extended period of time.
EuroTrader 2005-2009 Back test
EuroTrader 2005-2009 Equity chart
EuroTrader 2005-2009 Trade analysis
EuroTrader 2010-2014 Back test
EuroTrader 2010-2014 Equity chart
EuroTrader 2010-2014 Trade analysis

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