外汇趋势检测器具有非常高的风险回报比、每笔交易的高平均利润(以点为单位)、可视化风险指示系统和最新一代的自我更新算法,无需优化,100%保证长期利润由其供应商。

交易理念

Forex Trend Detector 中没有应用任何外来或投机技术,并且它不依赖于滑点或价差。
它检测波动的市场趋势或交易时段的最后时刻,识别主导市场趋势低于的波动率限制,并且不会忽略这些波动率限制出现在重要市场水平附近时的特殊情况,预测在以下情况下应利用的价格水平波动性突破发生后,市场会重新调整,最后根据该预测设置订单。

规格

执照

一个真实账户和两个模拟账户。

NFA 和先进先出

完全符合货币交易规则和规定。与 NFA 监管经纪商 一起运行。

经纪商/VPS推荐

EA 可以与任何 Forex Broker 一起运行,但我们建议将其安装在 TradingFX VPS 上并在 [featured_br] 账户上使用以获得最佳效果稳定性和盈利能力。

更新

终身免费更新。

支持

专业快速响应团队 24/7。

退款政策

无条件 60 天退款保证。

支持的货币对

EURUSD, GBPUSD

MetaTrader 图表时间框架

M5

交易风格(视觉回测)

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2011.05.31 22:00 - 2016.05.31 21:59 (2013.08.31 - 2015.08.31)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; RM="====== Risk Management ========"; RecoveryMode=true; RecoveryMultiplier=1.05; FixedLots=0.01; AutoMM=1; AutoMM_Max=10; MaximalLots=100; MaxTrades=10; CES="=== Custom Expert Settings ===="; CustomStopLoss=0; CustomTakeProfit=0; TrailingStop=31; StartTrailStop=85; SafeExitMinutes=1620; SafeProfit=-10; ExitSignalProfit=40; ExitM5Profit=80;
Bars in test
374132
Ticks modelled
71793845
Modelling quality
99.00%
Initial Deposit
$1000.00
Spread
10

Backtests Results

Total net profit
1211.49
Gross profit
3217.62
Gross loss
-2006.13
Profit factor
1.60
Expected payoff
3.47
Absolute Bal DD
212.47
Maximal Bal DD
838.40 (51.56%)
Relative Bal DD
51.56% (838.40)
Total Trades
349
Short positions (won %)
165 (70.91%)
Long positions (won %)
184 (45.65%)
Profit trades (% of total)
201 (57.59%)
Loss trades (% of total)
148 (42.41%)
Largest Profit trade
79.92
Largest Loss trade
-42.00
Average Profit trade
16.01
Average Loss trade
-13.55
Maximum consecutive wins (profit in money)
20 (46.78)
Maximum consecutive losses (loss in money)
13 (-383.18)
Maximal consecutive profit (count of wins)
587.37 (9)
Maximal consecutive loss (count of losses)
-383.18 (13)
Avarage consecutive wins
6
Avarage consecutive losses
4

回测

我们通过Tickmill ECN-PRO演示账户使用高质量 99% 杜高斯贝 Tick 数据进行了一系列交替设置的不同回溯测试,以更好地了解 2011 年至 2016 年 5 年间 EA 的表现,欧元兑美元的实际点差为 0.4比较参考(点差越低,结果越好)。

我们应用了不同的风险级别;低风险为 1%,中风险为 2%,高风险为 4%,此外固定手数为 0.05,没有零风险!所有这些都在恢复模式关闭时测试一次,然后在恢复模式打开时测试:

欧元兑美元回测

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:20
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
10

Backtests Results

Total net profit
16235.40
Gross profit
4398.94
Gross loss
-13022.43
Profit factor
1.25
Expected payoff
0.39
Absolute Bal DD
0.31
Maximal Bal DD
107.94 (0.96%)
Relative Bal DD
0.99% (104.74)
Total Trades
8138
Short positions (won %)
797 (67.38%)
Long positions (won %)
3996 (51.23%)
Profit trades (% of total)
4372 (53.72%)
Loss trades (% of total)
3766 (46.28%)
Largest Profit trade
21.96
Largest Loss trade
-3.64
Average Profit trade
3.71
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
40 (161.06)
Maximum consecutive losses (loss in money)
35 (-121.55)
Maximal consecutive profit (count of wins)
161.87 (38)
Maximal consecutive loss (count of losses)
-121.55 (35)
Avarage consecutive wins
6
Avarage consecutive losses
5

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:30
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
228960.41
Gross profit
206711.06
Gross loss
-180936.73
Profit factor
1.27
Expected payoff
5.93
Absolute Bal DD
3.16
Maximal Bal DD
10145.55 (8.43%)
Relative Bal DD
10.38% (3614.81)
Total Trades
8094
Short positions (won %)
797 (67.38%)
Long positions (won %)
3974 (52.04%)
Profit trades (% of total)
4406 (54.44%)
Loss trades (% of total)
3688 (45.56%)
Largest Profit trade
468.93
Largest Loss trade
-107.65
Average Profit trade
51.97
Average Loss trade
-49.06
Maximum consecutive wins (profit in money)
40 (3146.72)
Maximum consecutive losses (loss in money)
35 (-607.70)
Maximal consecutive profit (count of wins)
3678.56 (38)
Maximal consecutive loss (count of losses)
-2131.16 (25)
Avarage consecutive wins
6
Avarage consecutive losses
5

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:35
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=true; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
16263.92
Gross profit
7204.05
Gross loss
-12752.43
Profit factor
1.28
Expected payoff
0.43
Absolute Bal DD
11.39
Maximal Bal DD
233.54 (1.88%)
Relative Bal DD
1.88% (233.54)
Total Trades
8094
Short positions (won %)
1578 (61.09%)
Long positions (won %)
3974 (52.04%)
Profit trades (% of total)
4406 (54.44%)
Loss trades (% of total)
3688 (45.56%)
Largest Profit trade
21.96
Largest Loss trade
-3.64
Average Profit trade
3.69
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
40 (159.96)
Maximum consecutive losses (loss in money)
35 (-121.55)
Maximal consecutive profit (count of wins)
159.96 (40)
Maximal consecutive loss (count of losses)
-121.55 (35)
Avarage consecutive wins
6
Avarage consecutive losses
5

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2021.12.31 01:55
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=true; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897761
Ticks modelled
242006343
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
4934514.81
Gross profit
398235.17
Gross loss
-3979252.22
Profit factor
1.24
Expected payoff
118.02
Absolute Bal DD
113.74
Maximal Bal DD
21322.43 (21.21%)
Relative Bal DD
21.21% (21322.43)
Total Trades
8094
Short positions (won %)
1578 (61.09%)
Long positions (won %)
3974 (52.04%)
Profit trades (% of total)
4406 (54.44%)
Loss trades (% of total)
3688 (45.56%)
Largest Profit trade
19181.55
Largest Loss trade
-16929.78
Average Profit trade
1119.95
Average Loss trade
-1078.97
Maximum consecutive wins (profit in money)
40 (91832.54)
Maximum consecutive losses (loss in money)
35 (-1695.71)
Maximal consecutive profit (count of wins)
166488.97 (11)
Maximal consecutive loss (count of losses)
-166281.28 (12)
Avarage consecutive wins
6
Avarage consecutive losses
5

英镑兑美元回测

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:45
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
826.39
Gross profit
2808.43
Gross loss
-16258.30
Profit factor
1.05
Expected payoff
0.09
Absolute Bal DD
2.43
Maximal Bal DD
151.79 (1.34%)
Relative Bal DD
1.34% (151.79)
Total Trades
9063
Short positions (won %)
472 (62.71%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
21.92
Largest Loss trade
-3.55
Average Profit trade
3.91
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
58 (250.84)
Maximum consecutive losses (loss in money)
34 (-117.64)
Maximal consecutive profit (count of wins)
250.84 (58)
Maximal consecutive loss (count of losses)
-117.64 (34)
Avarage consecutive wins
5
Avarage consecutive losses
6

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:50
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=false; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
102746.76
Gross profit
75796.55
Gross loss
-97872.82
Profit factor
1.05
Expected payoff
0.54
Absolute Bal DD
24.32
Maximal Bal DD
5276.15 (14.32%)
Relative Bal DD
14.32% (5276.15)
Total Trades
9063
Short positions (won %)
472 (62.71%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
131.54
Largest Loss trade
-35.30
Average Profit trade
23.53
Average Loss trade
-20.84
Maximum consecutive wins (profit in money)
58 (1253.06)
Maximum consecutive losses (loss in money)
34 (-705.50)
Maximal consecutive profit (count of wins)
1337.04 (28)
Maximal consecutive loss (count of losses)
-888.56 (29)
Avarage consecutive wins
5
Avarage consecutive losses
6

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 19:50
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=true; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=0; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
17084.69
Gross profit
2809.04
Gross loss
-16258.30
Profit factor
1.05
Expected payoff
0.09
Absolute Bal DD
2.45
Maximal Bal DD
152.19 (1.35%)
Relative Bal DD
1.35% (152.19)
Total Trades
9063
Short positions (won %)
472 (62.92%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
21.92
Largest Loss trade
-3.55
Average Profit trade
3.91
Average Loss trade
-3.46
Maximum consecutive wins (profit in money)
58 (250.84)
Maximum consecutive losses (loss in money)
34 (-117.64)
Maximal consecutive profit (count of wins)
250.84 (58)
Maximal consecutive loss (count of losses)
-117.64 (34)
Avarage consecutive wins
5
Avarage consecutive losses
6

Backtests Settings

Symbol
GBPUSD (Great Britan Pound vs US Dollar)
Period
5 Minutes (M5) 2010.01.01 10:20 - 2022.05.02 20:00
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
GS="====== General Settings ======="; Magic=6969691; Backtest_GMT_Offset=2; EA_Comment="MyFxBots.com"; MaxSpread=3; MaxSlippage=2; StealthMode=false; Use_EURUSD_HF_Settings=false; RM="====== Risk Management ========"; RecoveryMode=true; RecoveryMultiplier=1.04; FixedLots=0.01; AutoMM=1; AutoMM_Max=5; MaximalLots=100; MaxTrades=10; CSE="=== EURUSD Custom Settings ===="; CustomStopLoss_EURUSD=0; CustomTakeProfit_EURUSD=0; TrailingStop_EURUSD=30; StartTrailStop_EURUSD=60; SafeExitMinutes_EURUSD=1620; SafeProfit_EURUSD=0; ExitSignalProfit_EURUSD=39; ExitM5Profit_EURUSD=45; CSG="=== GBPUSD Custom Settings ===="; CustomStopLoss_GBPUSD=0; CustomTakeProfit_GBPUSD=0; TrailingStop_GBPUSD=24; StartTrailStop_GBPUSD=65; SafeExitMinutes_GBPUSD=1680; SafeProfit_GBPUSD=-5; ExitSignalProfit_GBPUSD=50; ExitM5Profit_GBPUSD=50;
Bars in test
897620
Ticks modelled
230137779
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
3773.00
Gross profit
158077.71
Gross loss
-312567.08
Profit factor
1.01
Expected payoff
0.42
Absolute Bal DD
24.52
Maximal Bal DD
12392.77 (22.56%)
Relative Bal DD
22.56% (12392.77)
Total Trades
9063
Short positions (won %)
472 (62.92%)
Long positions (won %)
4354 (48.48%)
Profit trades (% of total)
4367 (48.18%)
Loss trades (% of total)
4696 (51.82%)
Largest Profit trade
902.50
Largest Loss trade
-751.80
Average Profit trade
72.44
Average Loss trade
-66.56
Maximum consecutive wins (profit in money)
58 (501.11)
Maximum consecutive losses (loss in money)
34 (-3357.82)
Maximal consecutive profit (count of wins)
12144.84 (20)
Maximal consecutive loss (count of losses)
-9210.13 (22)
Avarage consecutive wins
5
Avarage consecutive losses
6

交易策略

它采用了被称为“智能货币”的专业基金经理技术来实现最大盈利能力,此外还结合了复杂的回撤补偿算法和众所周知的波动性突破策略以实现最大程度的保护。

Smart Money技术使用波动性突破策略来跟随市场冲动,其纯粹性和逻辑性是最可靠和持续的表现。

除此之外,EA 采用尖端多项式算法,实时设置和调整系统参数,以响应持续的市场走势和状况变化。

它还应用了一套智能盈利和保护系统:

  • 高传播和高滑移保护系统。
  • 最先进的利润保护系统。

底线

外汇_ _ Detector是一个真正有前途的外汇机器人。

促销视频(由供应商提供)

风险

外汇交易可能涉及超出您初始存款的损失风险。这并不适合所有投资者,您应确保了解所涉及的风险,如有必要,请寻求独立建议。

外汇账户通常提供不同程度的杠杆,其较高的利润潜力与同样高的风险水平平衡。您永远不应该冒超过您准备损失的风险,并应仔细考虑您的交易经验。

过去的表现和模拟结果并不一定表明未来的表现。本网站上的所有内容仅代表作者的意见,不构成对购买其页面中描述的任何产品的明确建议。