SSTRATEGY
In the past years I identified and refined a trading strategy based on price/time dynamics, which is able to spot sensible levels where institutional operators (banks, funds, etc.) place their orders. I named this strategy as Setup, since it identifies a particular market setup that allows us to trade with low risk.
One of the main problems (causing losses) that traders have to face is the risk management. Often newbie traders enter the market with no information about the risks and the win probability for that operation.
Together with my strategy, rich series of statistical data are provided. They're calculated and sent in real-time by my software , in order to trade with an important decisional support, and a guarantee of reduced risk. Just for example, I report the statistics below regarding two of the indices I usually trade with Setups: