This Version 2 strategy is a capital-based risk scaling model with fixed lot size (0.01), focusing on monthly returns:


Risk vs. Capital Breakdown

$5k → High Risk
Aggressive trading exposure
Targets 40–80% monthly ROI (very volatile)

$10k → Medium Risk
Balanced approach
Targets 20–40% monthly ROI

$20k → Low Risk
Safer and more stable
Targets 10–20% monthly ROI

Core idea:
👉 Same lot size for all accounts
👉 Smaller capital = higher risk & higher potential returns
👉 Larger capital = lower risk & steadier growth


CONNECTED ACCOUNTS

» Log in:- 18320599 (MT5)
» Password:- @Liveaccount1
» Server:- VantageInternational-Live 3
» Capital:- $1,49,900
» Account Start Date:- 29-09-2025
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» Log in:- 183206566 (MT5)
» Password:- @Liveaccount1
» Server:- Exness-MT5Real25
» Capital:- 300K
» Account Start Date:- 28-01-2025
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CONTACT US ON: https://t.me/ftrade1
FOLLOW US ON: https://t.me/liveaccount1

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