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XAUUSD ELIRAN

To build a professional and accurate description of your strategy, I have distilled the information you shared into a neat "Trading Plan". This strategy combines strict financial discipline with a desire for consistent growth in the Forex market.
Here is a suggestion for describing your strategy:
The "Safe Profit" Strategy: Capital Management and Growth in the Forex Market
The strategy focuses on preserving equity while creating cash flow for withdrawal and leveraging profits to purchase additional trading portfolios. The goal is to reduce personal risk and increase purchasing power in the market.
1. Capital and Withdrawal Goals
Starting Capital/Base: $2,250.
Periodic Profit Target: $1,000.
Withdrawal Policy: Upon reaching the profit target, the $1,000 is immediately withdrawn for "cash out" and reinvestment in additional trading portfolios.
2. Operational Logic (The Workflow)
The strategy operates in cycles of accumulation -> withdrawal -> expansion:
Accumulation phase: Focus on trading Forex assets with the aim of achieving a return of approximately 44% on the base portfolio.
Withdrawal phase: Defining the first $1,000 as net profit that leaves the market to ensure "money in your pocket".
Expansion phase: Using part of the profit that is withdrawn to purchase an additional trading portfolio, which allows for increased trading volume without increasing the risk on the original portfolio.
3. Advantages of the strategy
Psychological risk management: Knowing that you are withdrawing money "home" reduces mental stress and allows for cleaner decision-making.
Smart leverage: Purchasing additional portfolios creates diversification of risks between different accounts.
Self-discipline: Pre-defined profit and withdrawal targets prevent the "greed trap" that exists in Forex.
Here is a suggestion for describing your strategy:
The "Safe Profit" Strategy: Capital Management and Growth in the Forex Market
The strategy focuses on preserving equity while creating cash flow for withdrawal and leveraging profits to purchase additional trading portfolios. The goal is to reduce personal risk and increase purchasing power in the market.
1. Capital and Withdrawal Goals
Starting Capital/Base: $2,250.
Periodic Profit Target: $1,000.
Withdrawal Policy: Upon reaching the profit target, the $1,000 is immediately withdrawn for "cash out" and reinvestment in additional trading portfolios.
2. Operational Logic (The Workflow)
The strategy operates in cycles of accumulation -> withdrawal -> expansion:
Accumulation phase: Focus on trading Forex assets with the aim of achieving a return of approximately 44% on the base portfolio.
Withdrawal phase: Defining the first $1,000 as net profit that leaves the market to ensure "money in your pocket".
Expansion phase: Using part of the profit that is withdrawn to purchase an additional trading portfolio, which allows for increased trading volume without increasing the risk on the original portfolio.
3. Advantages of the strategy
Psychological risk management: Knowing that you are withdrawing money "home" reduces mental stress and allows for cleaner decision-making.
Smart leverage: Purchasing additional portfolios creates diversification of risks between different accounts.
Self-discipline: Pre-defined profit and withdrawal targets prevent the "greed trap" that exists in Forex.
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開源腳本
秉持TradingView一貫精神,這個腳本的創作者將其設為開源,以便交易者檢視並驗證其功能。向作者致敬!您可以免費使用此腳本,但請注意,重新發佈代碼需遵守我們的社群規範。
免責聲明
這些資訊和出版物並非旨在提供,也不構成TradingView提供或認可的任何形式的財務、投資、交易或其他類型的建議或推薦。請閱讀使用條款以了解更多資訊。