Good afternoon Dear Investors!
I have been watching after PAMM-accounts for about 9 months, have been monitoring all the possible tricks, risks and the work of the great variety of brokers at the PAMM-accounts market. I stopped on the broker Forex Trend , he takes the leading position in the independent rating of the agency Masterforex
The main criteria were :
the term of living - 1 year,
The maximum slump - 35%,
The average profitability is not less than10% per month (5% for the investor)
A decision to draw 30% from the personal bank deposit and to deposit it in this type of activity.
My portfolio contains 3400$. I divided it as follows:
Veronika 1000$
Avas 1000$
TP 500$
Investobolin 500$
AlexShuk 200$
Sven 200$
From my point of view this portfolio is the best up to date on correlation profitability/risks. The expected profitability is at the level of 80-120%. PAMM 2.0 the decision of not looking into was accepted.
I will not refund this portfolio, the profit will not be shown during the next 6 months.
Restructuring of the portfolio is due to be in the case if one of the traders will have more than 50% losses.
I plan to fill up quarterly a deposit for 1000-1500$.
The monitoring of the portfolio will be published weekly..
More detailed information is here:
https://fx-trend.com/en
I have been watching after PAMM-accounts for about 9 months, have been monitoring all the possible tricks, risks and the work of the great variety of brokers at the PAMM-accounts market. I stopped on the broker Forex Trend , he takes the leading position in the independent rating of the agency Masterforex
The main criteria were :
the term of living - 1 year,
The maximum slump - 35%,
The average profitability is not less than10% per month (5% for the investor)
A decision to draw 30% from the personal bank deposit and to deposit it in this type of activity.
My portfolio contains 3400$. I divided it as follows:
Veronika 1000$
Avas 1000$
TP 500$
Investobolin 500$
AlexShuk 200$
Sven 200$
From my point of view this portfolio is the best up to date on correlation profitability/risks. The expected profitability is at the level of 80-120%. PAMM 2.0 the decision of not looking into was accepted.
I will not refund this portfolio, the profit will not be shown during the next 6 months.
Restructuring of the portfolio is due to be in the case if one of the traders will have more than 50% losses.
I plan to fill up quarterly a deposit for 1000-1500$.
The monitoring of the portfolio will be published weekly..
More detailed information is here:
https://fx-trend.com/en
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