This strategy is for the last trading day of each calendar month. This market moves in a very predictable way every month; the quarterly move on the index can be aggressive and can easily extend over 60+ pips, which is a significant opportunity.
This strategy has two parts, part one, fixed and part two, with a moving variable entry, target and stop. Over the past four years, this strategy has delivered an average win rate of around 92% over 12 months, with a minimum 1 to 1.8 risk to reward ratio for part one and a 1: 2.4 risk-reward ratio for part two.
This has never failed to provide profits in 7 years on a Quartey basis!
Watch strategy being implemented live and recorded for March 2022