For those who are willing to open a managed account with us
Main purpose to write this report is to inform the clients about our trading system and its possibilities. Actually we keep informing the new customers about risk/reward facts. Gain is always achieved with some risk involved. Gaining without risk is not possible in this business. The term risk is very important to understand before opening an account. Due to our long term research and continues struggle for risk management, we have minimized risk levels as compared to gains. Our gains are sharper than the risk and everything is properly verified and tested historically
The strategies which we use are the essence of 16 years of mathematical research. Risk/reward ratio is very important to calculate the earning possibilities. Risk should never exceed more than three months of gains so that in three months of successful trading risk should be zero.
Here it is very necessary to teach you how we gain actually? How our system works? At which stages account can go in profits or loss? What is the ratio of profit and loss? How time frame and money management effect the trading performance? How we make money consistently? What are the reasons for our success? You will find all about this comprehensively in this following information with trade by trade results in form of statistics. Knowing and realizing these figures are very important
Starting balance is 10000$, Possible gains 10% or higher, Possible worst risk 30%
Week 1: 2-3% profit with 30% risk OR 1st week account status may be 10200$-10300$ or 7000$
Week2: 4-6% profit with 30% risk OR 2nd week account status may be 10404$-10610$ or 7000$
Week3: 6-9% profit with 30% risk OR 3rd week account status may be 10612$-10927$ or 7000$
Week4: 8-12% profit with 30% risk OR 4th week account status may be 10824$-11255$ or 7000$
Our previous statistics shows there are 90% chances to gain each month, if any month we lose then there is also potential to re-gain very easily in the next month but we require time to avoid any speculative approach of trading. We prefer to spend the time instead of increasing the risk factor
According to above statistics we close first month with around 10% gain then our starting balance will be almost 11000$ and for the 2nd month. Simply withdraw 1000$ in your bank account or declare us to re-utilize your profit of 1000$.
Starting balance is 11000$, Possible gains 10% or higher, Possible worst risk 20%
Week 1: 2-3% profit with 30% risk OR 1st week account status may be 11220$-11330$ or 8000$
Week2: 4-6% profit with 30% risk OR 2nd week account status may be 11440$-11670$ or 8000$
Week3: 6-9% profit with 30% risk OR 3rd week account status may be 11675$-12020$ or 8000$
Week4: 8-12% profit with 30% risk OR 4th week account status may be 11906$-12380$ or 8000$
After another successful month your net account balance may be 12000$ or higher after two months. So for the 3rd month details will be as follows.
Starting balance 12000$, Possible gains 10% or higher, Possible worst risk 10%
Week 1: 2-3% profit with 30% risk OR 1st week account status may be 12240$-12360$ or 9000$
Week2: 4-6% profit with 30% risk OR 2nd week account status may be 12485$-12730$ or 9000$
Week3: 6-9% profit with 30% risk OR 3rd week account status may be 12735$-13112$ or 9000$
Week4: 8-12% profit with 30% risk OR 4th week account status may be 13000$-13506$ or 9000$
After three months of successful trading with 30-35% risk, your account balance can be 13500$ or higher. Here anyone can ask about losing month. Sure the answer is if you lose 30% in any month and you gain 10-15% average per month and after three months your total gain will be more than the risk level so after subtracting your risk level from profit you will be still gainer after three to four months of successful trading. This is example of bad scenario. When our clients make money in two months continuously then they don’t bother risks because of the gains.
Very importantly if risk fills just in starting (the first month) then we take 60 to 90 days more to restore the original profit cycle without serious level of drawdown. We always prefer to spend the time instead of taking the higher risks but as a whole within 90 days profits are properly maintained according to our historical facts
Starting balance 13500$, Possible gains 10% or higher and risk 0% due to gain of last three months
Further explanation about the possibility of losing month: Some peoples raise question about losing months. It’s very important to address about losing month facts as well. We don’t say there is no risk in our system. We say very clearly and loudly about risk facts. Nobody can ignore risk in this business. Main thing is to handle risk issues with highly reliable mathematical trading strategies and sharp gains.
According to our last three and half year performance we lose only 4 months out of 43 months, so possibility of losing month is very rare due to our advanced mathematical based strategy. You should be confident if you face any losing month because we are specialist to re-gain. It is our moral duty to inform you all facts concerning with your new account with us. Normally fund managers and companies shows you only positive picture but here you will find both and we are happy to do so.
Following is the link to calculate everything from historical statistics which we just said and described.
According to our previous performance, average risk level is 18% per month, but the risk level which we say is normally 30-35%. There are rare chances to fill this risk level of 35%. Suppose we lose two months and gain 10 months in a year, still there is reliable gaining average per year. So our clients should never be worried at all when we face some 1-2 losing months in a year. Management of TopFundManagers.com as a special art to maintain the performance of the accounts regularly
Risk Disclosure Notice: Trading Futures, Options on Futures, and Foreign Exchange
Forex Trading involves substantial risk of loss and may not be suitable for all
investors. You should carefully consider whether trading is suitable for you in
light of your circumstances, knowledge, and financial resources. Opinions, market
data, and recommendations are subject to change at any time. The information
contained in this message does not constitute a solicitation to buy or sell by
TopFundManagers.com and/or its affiliates, and is not to be available to
individuals in a jurisdiction where such availability would be contrary to local
regulation or law.
TopFundManagers.com asks that you consider the risks
associated with increasing your leverage. A relatively small market movement will
have a proportionately larger impact on the funds you have deposited or will have
to deposit; this may work against you as well as for you. You may sustain a total
loss of initial margin.
Please only trade with ‘risk capital’, meaning capital that you are willing to
lose without the loss effecting your current lifestyle. While any trader or signal
service will make their best effort to be profitable, no trader, however experienced
is immune to losses.