This is a long only strategy.
This strategy measures and creates a signal when an asset is moving out of a correlation with CBOE VIX into an inverse correlation.
It also has a risk management with TP/SL based on percentages.
If you have any questions let me know.
This strategy measures and creates a signal when an asset is moving out of a correlation with CBOE VIX into an inverse correlation.
It also has a risk management with TP/SL based on percentages.
If you have any questions let me know.
My website: www.atraderlife.com/
Telegram group: t.me/atrader_life
DONATION
BTC: 347p8NNwnHmAUfyJXWaeLUgrpHwthmr5UP
TV
www.tradingview.com/gopro/?share_your_love=SoftKill21
Telegram group: t.me/atrader_life
DONATION
BTC: 347p8NNwnHmAUfyJXWaeLUgrpHwthmr5UP
TV
www.tradingview.com/gopro/?share_your_love=SoftKill21