Here is our benchmark performance year to date. Trade selection is based on the 5, 10, 25 & 50-day price patterns. The signals are taken and managed on a 15 minute chart with the trigger and management wholly mechanical. The method covers both the Dollar Index and the Euro, but is never in both markets simultaneously. The risk per trade never exceeds 2% of the account.
It is a fact based method relying on market patterns alone for trade selection, risk, and trade management.