金CFD (米ドル/オンス)
ロング

Gold Position LONG

161
My style of trade management is as follow : i divide my volume based on my margin to 3 but they are not equal. i assign a factor to my position indicating the score it has had based on my strategy and then i do the division. its a bit complicated but it works. when i enter a trade if it doesnt go my way on onset i cancel it without hesitation and lose a small amount of my margin.
when it goes my way at first station i make my positions risk-fre by closing one of the three and the rest is evident.
about the positions i have to say my stop-loss when i do trading is different from what i show here.

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