Monday, November 23, 2009

Nov 2009 -USD 3,000

Initial deposit 3000.00
Total net profit -3289.43 Gross profit 1204.18 Gross loss -4493.60
Profit factor 0.19 Expected payoff -182.39
Absolute drawdown 3289.43 Maximal drawdown 3246.60 (104.86%) Relative drawdown 104.86% (6246.60)

Total trades 29 Short positions (won %) 18 (77.78%) Long positions (won %) 11 (54.55%)
Profit trades (% of total) 20 (68.97%) Loss trades (% of total) 9 (31.03%)
Largest profit trade 169.25 loss trade -2491.60
Average profit trade 60.21 loss trade -721.51

Saturday, October 31, 2009

Oct 2009 Profit +USD1,825

For the Month of Oct-2009 it is more volatile, it is recommended only for those high risk takers who prepared to have the entire account as stop loss for this system.

No system or methodology has ever been developed that can give 100% winning trades, guarantee constant profits or ensure freedom from losses. This system is developed based on past records with a strategy that has a higher probability of winning. New enhancement has been done and deployed to existing account holders to stretch the margin buffer further.

The system will be profitable over time. Occasional losses are to be expected. There will be times when markets super volatile, beyond the norm. This accounts for the “High Risks High Returns” in FOREX trading.

Gross Profit: 5 158.48 Gross Loss: 3 333.27 Total Net Profit: 1 825.21
Absolute Drawdown: 0.00 Maximal Drawdown: 913.95 (12.93%)
Total Trades: 112 Short Positions (won %): 57 (54.39%) Long Positions (won %): 55 (52.73%)
Profit Trades (% of total): 60 (53.57%) Loss trades (% of total): 52 (46.43%)

Thursday, October 1, 2009

Sep 2009 Profit +USD 1,818

Gross Profit: 4 419.76 Gross Loss: 2 600.95 Total Net Profit: 1 818.81
Maximal Drawdown: 792.18 (16.55%) Relative Drawdown: 16.55% (792.18)
Total Trades: 99 Short Positions (won %): 57 (59.65%) Long Positions (won %): 42 (45.24%)
Profit Trades (% of total): 53 (53.54%) Loss trades (% of total): 46 (46.46%)
Largest profit trade: 520.95 loss trade: -360.28

Tuesday, September 15, 2009

Aug 2009 Profit +USD 2,185

Initial deposit 5000.00
Total net profit 2185.68 Gross profit 4473.18 Gross loss -2287.50
Absolute drawdown 1560.85 Maximal drawdown 2057.42 (37.43%) Relative drawdown 37.43% (2057.42)
Total trades 74 Short positions (won %) 39 (82.05%) Long positions (won %) 35 (42.86%)
Profit trades (% of total) 47 (63.51%) Loss trades (% of total) 27 (36.49%)
Largest profit trade 601.06 loss trade -211.54

July 2009 Profit +USD 1,629

Initial deposit 5000.00
Total net profit 1629.18 Gross profit 3481.82 Gross loss -1852.64
Absolute drawdown 15.59 Maximal drawdown 1140.59 (17.79%) Relative drawdown 17.79% (1140.59)
Total trades 72 Short positions (won %) 37 (75.68%) Long positions (won %) 35 (62.86%)
Profit trades (% of total) 50 (69.44%) Loss trades (% of total) 22 (30.56%)
Largest profit trade 518.66 loss trade -216.28

June 2009 Profit +USD 8,258

Initial deposit 5000.00
Total net profit 8258.71 Gross profit 12688.85 Gross loss -4430.14
Absolute drawdown 921.98 Maximal drawdown 3154.02 (31.14%) Relative drawdown 37.30% (2662.99)
Total trades 84 Short positions (won %) 43 (79.07%) Long positions (won %) 41 (78.05%)
Profit trades (% of total) 66 (78.57%) Loss trades (% of total) 18 (21.43%)
Largest profit trade 1590.06 loss trade -872.49

May 2009 Profit +USD 4,790

Initial deposit 5000.00
Total net profit 4790.62 Gross profit 10960.35 Gross loss -6169.72
Absolute drawdown 1527.02 Maximal drawdown 4763.15 (57.83%)
Total trades 97 Short positions (won %) 54 (79.63%) Long positions (won %) 43 (58.14%)
Profit trades (% of total) 68 (70.10%) Loss trades (% of total) 29 (29.90%)
Largest profit trade 2311.70 loss trade -580.48

April 2009 Profit +USD 4,345

Initial deposit 5000.00
Total net profit 4345.37 Gross profit 5793.68 Gross loss -1448.30
Profit factor 4.00 Expected payoff 64.86
Absolute drawdown 2010.90 Maximal drawdown 3557.36 (54.34%) Relative drawdown 54.34% (3557.36)
Total trades 67 Short positions (won %) 32 (84.38%) Long positions (won %) 35 (71.43%)
Profit trades (% of total) 52 (77.61%) Loss trades (% of total) 15 (22.39%)
Largest profit trade 1097.99 loss trade -256.91

Ninja System

This system is developed with at least USD100,000 capital incurred in the trading and after many years of fine-tuning. With 30 years trading experience and working in Fiancial Industry with Bloomberg and Reuters systems, and spent at least US20,000 on trading courses from Dar Wong - APSRI PW Forex, Ray Barros - Trading Success, Kathy Lien - FX360, Don Schellenberg - NextView, CK Ee - Asia Charts, Kishore - PowerUp Capital, K2p, FT101, Diff, V3go, coupled with strong programming knowledge, I have developed a few system methodology on Nikkei, Hang Seng, Simsci, Kospi, Taiwan, S&P, Crude Oil and Foreign Exchange on GBP, Euro and Yen. Now I am ready to trade for you based on this Ninja System methodology since it is able to generate profit every month. I will publish the trading result on monthly basis.

The Forex Broker recommended provides FREE Commission to reduce cost in trading, High Leverage (1:500) to reduce margin requirement, Hedging to accept both different direction order and open position, None-FIFO (First In First Out) order, Trading Platform to accept instant and 24-hour order execution, Good Bonus Scheme USD25 for new account opening and another USD100 after completed 10-lot transaction plus Daily and Monthly Email statement, Top 5 brokers rated in Top-100-Forex-Sites.

This is a managed account service. If you keen to participate in this system, email your particular (Full name as per NRIC, Email, Address, Phone Number and a scan copy of NRIC) to rtan999@gmail.com

The service fee and frequently asked question at Ninja FAQ

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