Financial market analyst, the trader.
Experience of trade and capital management: 9 years.
While trading he uses strong price levels + Fibonacci levels, candlestick analysis and financial analysis of enterprises in securities trading. He draws attention to the correlation of assets exchange between themselves. He uses risk-management in trading without fail. The maximum acceptable risk level does not exceed 5%.
Trade profitability: 10-15% per month.
Tools: EUR/USD, GBP/USD, USD/CAD, USD/JPY, Tesla, Pfizer, Microsoft, Chevron.
Motto: “Right here, right now!”
About myself: "When I was a third year student, I was fortunate enough to meet with the financial markets. My first experience of trading, I got in the currency market. Later, I got acquainted with the stock and commodity markets. And I realized that is exactly what I'm really interested in! The variety of instruments and trading strategies, hedging and arbitrage opportunities have remained me indifferent to this market. Working with currency, securities, precious metals, I realized that I own a real asset, which brings a good income.
In my spare time I like to go to the pool. Over the weekend, I often play basketball with my friends. My hobby is traveling. My profession allows me to work from any part of the world, the main thing that I shall have an access to the Internet”.