Germany

SurfingSP500

Germany

SurfingSP500

11.12.2024
CPI numbers today
SP500 is down from its peak at 6100 , floating around 6050 (less than 1% drop). CPI numbers released today will play a big role in whether or not FED will cut rate as expected in december. Unexpected CPI numbers could trigger a market drop! So seat tight and ride the wave! No need to panic! We see support 5880, which we likely will DCA (dollar cost average) into our position and ride the wave back up.
Germany

SurfingSP500

09.12.2024
SP500 hitting ATHs - leverage 4x currently
The US economy added 227K jobs last month, a bigger-than-expected rebound from the October hit when Boeing strikes and hurricanes weighed on hiring. Let's go!
Germany

SurfingSP500

27.11.2024
SP500 almost back at ATH
Since sep11 2024 SP500 is up roughly 10% and we are up 40% as per trading strategy of following SP500 on a leveraged basis.
Germany

SurfingSP500

22.11.2024
Leverage dropped to 3.78
Account can take a 26% drop on SP500. Note SP500 is down from ATH since November 11 - we've been managing trades to pay for swap costs but not over leveraging due to potential WAR risk.
Germany

SurfingSP500

22.11.2024
Current Leverage 4.26X
at this leverage SP needs to drop over 23% for ruin
Germany

SurfingSP500

21.10.2024
Safest Leverage Bet?
Let's be honest, no one is opening a CFD account looking for a low risk / low profit trade. But there's a limit to how much leverage you can apply before you just blow up your account. Like we all done multiple times. Most of the CFD Forex instruments just dont move enough and predictable enough for a high leverage bet. However, if you look at the SP500 and consider statements like... "non-professionals should simply invest in a cross-section of businesses and that "a lost-cost S&P 500 index fund will achieve this goal", a safer leveraged bet would be to leverage a long trade on the SP500. And that is exactly what this account will aim to do! 3-5x the gains of the SP500 over time. No promises - but that is the goal!

過去的表現不確保未來的回報。交易有風險。

Simple 3-5x leveraged SP500 tracking. Actively managed to DCA if needed.

過去的表現不確保未來的回報。交易有風險。

概要
跟單人數
1
管理的資金 ($)
資產管理規模
Assets Under Management is the total amount of funds that a person manages on behalf of clients.
< 10K
全部回報
29.29%
風險水平
2

業績表現

回報率 %

-7.09
1個月-5.37
3個月+10.43
6個月
所有時間+29.29

統計數據

資金最大回撤幅度21.24%
總交易天數72
盈利天數46
未盈利天數26
平均日盈利 +2.16%
平均日虧損 -2.73%

設置

槓桿1:200
免掉期
利潤分成20%
最小入金130$
Manager's fund10204$

過去的表現不確保未來的回報。交易有風險。

每月交易數

點擊下方某欄查看該月詳細數據

交易品種

總交易
盈利 (%)
未盈利 (%)
平均交易長度
連續盈利
最大盈利(點數)
平均每日交易量
止損交易 (%)
獲利交易 (%)
賣出 (%)
買入 (%)
連續虧損
最大虧損(點數)
最大持倉量

按小時交易

每周各天的交易

過去的表現不確保未來的回報。交易有風險。

投資
風險警示:交易有風險,投資有風險。Exinity Limited 受FSC(毛裏求斯)監管。點擊查看假冒富拓帳號官方聲明
風險警示: 交易有風險,投資有風險。Exinity Limited 受FSC(毛裏求斯)監管。點擊查看假冒富拓帳號官方聲明