ForexTrade1®
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ForexTrade1®
SELL USDX CHART UPDATED Verify PERFORMANCE | Verify SIGNAL 98.5 - 98.0 = 0.5point Lvrg=1:200 | Cptl=$1000 Lot=220lot | 1point = $2200 = 0.5 x 2200 = 1100USD ROI = 110% Text TP=97.8 Once again - 0.5point gain from single entry = $1100 profit can be yours…
SELL USDX CHART UPDATED
Verify PERFORMANCE | Verify SIGNAL

98.7 - 97.7 = 1.0point
Lvrg=1:200 | Cptl=$1000
Lot=220lot | 1point = $2200
= 1 x 2200 = 2200USD profit
ROI
= 220%
TP1 = 98.1 Done
Text TP2
= 97.6

Traded precisely from given RHODIUM level,

Note - We have given this entry level on 10th September,

Check the RHODIUM channel's screenshot in chart for details

Talk to us to know more about RHODIUM service » @ft1copy
ForexTrade1®
SELL USOIL CHART UPDATED Verify PERFORMANCE | Verify SIGNAL Entry1 = 58.8 - 57.2 = 1.6point Entry2 = 58.3 - 55.5 = 2.8point Total 4.4Point Gain Lvrg=1:200 | Cptl=$1000 Lot=40.0lot | 1point = $4000 17600USD Profit | ROI = 1760% TP1 Achieved = 56.6 TP2 Achieved…
SELL USOIL CHART UPDATED
Verify PERFORMANCE | Verify SIGNAL

Entry = 56.4 - 54.0 = 2.4point
Lvrg=1:200 | Cptl=$1000
Lot=40.0lot | 1point = $4000
9600USD Profit | ROI = 960%
TP1 Achieved = 55.0
TP2 Achieved = 54.5
TP3 Achieved = 54.0
NEXT TP4 = 53.5

Precisely traded from RHODIUM entry level given today,

2.4point gain = $9600 profit in single entry!

Link your trading account with our master account and get same profit » @ft1copy
ForexTrade1®
Subscribe to our Main CopyTrade Account YouTube Channel www.YouTube.com/ForexTrade1 » Main Account Since = 3 Years » Per day Live Stream = 8-9 hours » Live streaming Videos > 1300 Videos » Proven WinRate = 80% to 85% » Real Accounts Displayed » 9 accounts…
Subscribe to our Main CopyTrade Account YouTube Channel
www.YouTube.com/ForexTrade1

» Main Account Since = 3 Years
» Per day Live Stream = 8-9 hours
» Live streaming Videos > 1300 Videos
» Proven WinRate = 80% to 85%
» Real Accounts Displayed » 9 accounts

LIVE REAL ACCOUNT TRADE = XAUUSD

XAUUSD LOT SIZE
» Capital $1000 = 0.5 lot size
» Capital $3000 = 2.0 lot size
» Capital $5000 = 3.0 lot size
» Capital $7000 = 4.0 lot size
» Capital $10000 = 5.0 lot size
» Capital $15000 = 7.0 lot size
» Capital $17000 = 8.0 lot size
» Capital $18000 = 9.0 lot size
» Capital $20000 = 10.0 lot size

Watch Previous Live Streaming
www.youtube.com/watch?v=iIyEGe9x_EY&t=4s

What is your Investment? and What is your Risk Preference?
Let us know and we will guide you
» @ftrade1
ForexTrade1®
12.09.19 2nd Live Streaming is ON Profit Rise To $2130k From $634k WITNESS LIVE COPY TRADING In Client's Account WATCH LIVE SIGNALS WITH LIVE PROFIT/LOSS BE WITNESS LIVE COPY TRADING PROFIT https://youtu.be/iIyEGe9x_EY
13.09.19 1st LIVE STREAMING
Profit/Loss booking is ON

—BE WITNESS LIVE PROFIT/LOSS BOOKING WITH COPY TRADING
—COPY OUR TRADES TO YOUR MT4/MT5 account to get same % of Profit/Loss in Yout account
—WATCH LIVE HOW OUR CLIENT MAKES PRROFIT WITH US
https://youtu.be/5qy9nGUNnMA
ForexTrade1®
BUY USDCAD CHART UPDATE Verify - Performance | Verify - Signal Entry1 = 1.3170 - 1.3220 = 50pips Entry2 = 1.3170 - 1.3220 = 50pips L=1:200, Capital=$1000 MT4=2.0lot, 1pip=$16 P/L Profit = 100 x 16 = $1600 Profit TP1 = 1.3210 Done Next TP2 = 1.3260 2 Entries…
BUY USDCAD

from 1.3170 to 1.3230
= 60 pips gain in CAD

BUY USDCAD is HEDGE against BUY AUDUSD
Yesterday 12/sept/2019 both signal
performed

BUY AUDUSD
0.6850 to 0.6900 = 50pips gained
Verify — t.me/forextrade1/22159
follow our msgs and level

stay connected — @ftrade1
ForexTrade1®
————————— PROFIT SIGNALS= 7 ————————— 1- BUY AUDUSD(Marginal gain) 0.68600-0.68800=20pip=$8k(new-gain) 2-SELL EURUSD(Abnormal Gain) 1.14000-1.10100=390pip=$185k(new-gain) 1.10900-1.10100=80pip=$40k(new-gain) 1.10600-1.10100=50pip=$50k(new-gain) 1.10400-1.…
—————————
PROFIT SIGNALS= 4
—————————
1-BUY AUDUSD(Significant Gain)
0.68100-0.68700=60pip=$28k(new-gain)
2-SELL USOIL(Abnormal Gain)
58.1-55.1=3point=$106k(new-gain)
56.2-55.1=1.1point=$44k(new-gain)
3-BUY USDCAD(Marginal gain)
1.31800-1.32100=30pip=$14k(new-gain)
4-SELL USDX(Abnormal gain)
98.5-97.9=0.6point=$100k(new-gain)
—————————
LOSS SIGNAL= 2
—————————
5-SELL EURUSD(Small loss)
1.10600-1.10700=10pip=$1.3k(new-loss)
—————————
COST EXIT SIGNALS = 1
—————————
6-BUY XAUUSD(COST EXIT)
1197-1497=0point
7-SELL GBPUSD(COST EXIT)
1.23400-1.23400=0pip

Total profit booked=$292K
(95% position closed)
Running Profit=$766K
(5% old position open)

Summary of trading History
https://youtu.be/5qy9nGUNnMA

»Connect your account to copy same signals in your account @ft1copy
ForexTrade1®
CLICK HERE TO WATCH LIVE STREAMED VIDEO TO VERIFY » Verify it —Total Trading account link with master account =680 Copy your MT4/MT5 account with our master account, connect in 1 hrs only —Ask for Copy Trading Benifits And Slot Avaiblity » @ft1copy
CLICK HERE TO WATCH LIVE STREAMED VIDEO TO VERIFY » Verify it

—Total Trading account link with master account =680
Copy your MT4/MT5 account with our master account, connect in 1 hrs only
—Ask for Copy Trading Benifits And Slot Avaiblity » @ft1copy
ForexTrade1®
#BUY_AUDUSD_06860|#MSR_AUDUSD Update: Prvs sgnal updated that buy frm 0.6840 near and AUDUSD traded exactly from 0.6850|Next buy 0.6870-0.6840, 0.6820-0.6800 Entry: 0.6860(MSR3)| TP: 0.6920 | Risk: 20pips 11/9 Signal Upadte: 0.6850(40pips Gain) Weekly Chart:…
#BUY_AUDUSD_06850|#MSR_AUDUSD
Update: Prvs sgnal updtd that Entry=0.6860(30pips bkd) & buy again btwn 0.6870-0.6840. AUDUSD traded 2times@ 1st time=0.6860(30pips bked), 2nd time=0.6850(running)|Next buy 0.6850-0.6830, 0.6800-0.6760
Entry: 0.6850(MSR3)| TP: 0.6920 | Risk: 20pips

12/9 Sgnl Updte: 0.6850-60(30pips+30pips)
Weekly Chart: SepWK1
Strategies: Martingale| Hedged With Buy USDCAD | WeeklyProfit|Fundamental Factor
IMP—China's rate cut eased pressure on RBA+US/China Trade war low tension reduced risk sentiment. now @ consolidation phase @ 0.685-0.686.
BUY@ 0.685/0.681/0.677/0.673=20/20/20/20% Capacity (Risk=10/10/15/15pip) Hedge against BUY USDCAD
ForexTrade1®
#BUY_USDCAD_13170|#MSD_USDCAD Pending Entry: 1.3170-1.3130, 1.3100-1.3070,1.3050-1.3030-1.3010|TP: 1.3210| Risk: 20pips 11/9 Signal Update: 1.3130(80pips Gain) WeeklyChart: SepWK1 Strategies: Martingale|Hedged With Buy AUDUSD|WeekProfit|Fundamental Factor…
#BUY_USDCAD_13200|#MSD_USDCAD
Update: prvs sgnl pending entry=1.3170 and USDCAD traded 2 times@ 1st time(50pips bkd), 2nd time(50pips bked) |Re-Enter again from 1.3200-1.3170, 1.3150-1.3130, 1.3110-1.3090
Entry: 1.3200|TP: 1.3260| Risk: 20pips

12/9 & Current Signal Update: 1.3170(50+50)
WeeklyChart: SepWK1
Strategies: Martingale|Hedged With Buy AUDUSD|WeekProfit|Fundamental Factor
IMP—Canada highest export=Crude
—Crude price=weak to break 54
—CAD will get more weak
—USDCAD pair will get stronger
BUY@ 1.317/1.313/1.307/1.300=20/20/20/20% Capacity(Hedge against BUY AUDUSD)
ForexTrade1®
#SELL_EURUSD_11020|#MRD_EURUSD Pending Entry: 1.1020-1.1040,1.1060-1.1080,1.1100-1.1120,1.1140-1.1160|TP: 1.0970|Risk:20pips 11/9 Signal Update: 1.1050(70pips gain) WeeklyChart: SepWK1 Strategies: Martingale|Hedged With Sell USDX|WeekProfit|Fundamental Factor…
#SELL_EURUSD_11090|#MRD_EURUSD
Update: Prvs trade updtd to put pending entry btwn 1.106-1.108 & EUR trded 3times@ 1st=1.107(140pips), 2nd time=1.107(50pips), 3rd=1.109(40pips bked)
Pending Entry: 1.1070-1.1090, 1.1110-1.1130, 1.1160-1.1180|TP: 1.101|Risk:20pips

12/9 Signal Update: 1.1070(140+50pips)
WeeklyChart: SepWK1
Strategies: Martingale|Hedged With Sell USDX|WeekProfit|Fundamental Factor
IMP —ECB Reduced Deposit facility rate and kept Marginal Lending facility/Interest rate intact. More money will flow out. Excellant opportunity for SELL@ 1.110/1.117/1.125/1.131=20/20/20/20% Capacity-Risk=15/15/20/40pips(Hedge against SELL USDX)
ForexTrade1®
#SELL_USDX_987|#MRR_USDX Update: Prvs trade updated that next sell from 98.6 near and usdx now trading exact;y from 98.7|Ready to sell again frm 98.8-99.0, 99.2-99.4 Entry: 98.7|TP: 98.1|Risk: 0.2Points 5/9 Signal Update: 98.5(0.5Point Gain) WeeklyChart:…
#SELL_USDX_979|#MRR_USDX
Update: Prvs trade updtd that next sell frm 99.1 & usdx trded exactly frm 99.1 to 97.7(as per ICM)=1.4points|Ready to sell again frm 97.9-99.2, 99.4-99.7, 98.8-99.0, 99.2-99.4
Entry: 97.9|TP: 97.4|Risk: 0.2Points

12/9 Signal Update: 98.7(1point as per XM)
WeeklyChart: SepWK1
Strategies: Martingale|Hedged With Sell EURUSD|
IMP—13/9/19-12:30GMT Core/Retail Sales data which will be less only due to trade war. SELL with full confidence@ 98.5/99.0/99.5 with 25/25/25% Capacity (Risk=0.1/0.2/0.3)-Hedge against SELL EURUSD
ForexTrade1®
#SELL_GBPUSD_12330|#MRD_GBPUSD Update: Re-enter again @ 1.2330-1.2360, 1.2380-1.2400 Entry: 1.2330|TP: 1.2280|Risk: 20pips 11/9 Signal Update: 1.2370(60 pips gain) WeeklyChart: SepWK1 Strategies: Martingale | Hedged With Buy XAUUSD | WeeklyProfit | Fundamental…
#SELL_GBPUSD_12360|#MRD_GBPUSD
Update: Prvs trade Entry=1.234(60pips gain) & also told to re-enter frm 1.236(40pips gain)
Pending Entry: 1.236-1.239, 1.241-1.243|TP: 1.229|Risk: 20pips

12/9 Signal Update: 1.2340-60(60+40pips)
WeeklyChart: SepWK1
Strategies: Martingale | Hedged With Buy XAUUSD | WeeklyProfit | Fundamental Factor
IMP—OCT-31 Probability of no deal brexit=90%, Only PM Johnson hope=90% for +VE deal. If deal happen Pound will sind badly. if not still Pound will fall only. SELL@ 1.236/1.242/1.249/1.255=20/20/20/20% Capacity(Risk=15/15/20/20pips) _Hedge against BUY XAUUSD
ForexTrade1®
#BUY_XAUUSD_1489|#MSD_XAUUSD Update: Next Buy@ 1490-1485, 1480-1475 Entry: 1489|TP: 1505|Risk: 5 Point 11/9 Signal Update: 1483(15Points Gain) WeeklyChart: SepWK1 Strategies: Martingale|Hedged With Sell GBPUSD|WeekProfit|Fundamental Factor IMP—If ECB do rate…
#BUY_XAUUSD_1495|#MSD_XAUUSD
Update: Next Buy@ 1495-1490, 1485-1480, 1475-1470
Entry: 1495|TP: 1508|Risk: 5 Point

12/9 Signal Update: 1489(35Points Gain)
WeeklyChart: SepWK1
Strategies: Martingale|Hedged With Sell GBPUSD|WeekProfit|Fundamental Factor
IMP—ECB Reduced Deposit rate from -0.4 to -0.5% (Bank use to deposit@ Eurosystem) It is -Ve means they will put money not for Deposit!! Boost GOLD price as predicted to 1525 from 1490=35point gain
BUY@ 1495/1485/1477/1468=20/20/20/20% Capacity with Risk(5/4/3/3)-Hedge against SELL GBPUSD
ForexTrade1®
#SELL_USOIL_565|#MRD_USOIL Update: Prvs sgnal told that re-enter btwn 58.0-59.0 & usoil traded frm 58.3-55.5=2.8points - Verify prvs sgnl Pending Entry: 56.5-57.5, 58.0-59.0,60.0-61.0 |TP: 55.0|Risk: 0.5Points 11/9 Signal Update: 58.3(2.8points gain) WeeklyChart:…
#SELL_USOIL_553|#MRD_USOIL
Update: Prvs sgnal told to re-enter frm 56.5 & usoil traded frm 56.4 precisely - Verify|after currnt entry, re-enter frm 55.0-56.0, 57.5-58.5, 59.0-60.0
Entry: 55.3 |TP: 55.0|Risk: 0.5Points

12/9 Signal Update: 56.4(2.4points gain)
WeeklyChart: SepWK1
Strategies:Martingale|WeeklyProfit|Fundamental Factor
IMP—OIL Melt like ice and we have booked huge gain from 57-58 level our 80% Portfolio allocation was on SELL side. As no improvement on Global Economy+USA Ready to talk with Iran/North Korea will help more supply of USOIL in mkt. Supply/Demand ratio will disrupt. OIL will break major barrier of 50 soon. SELL@ 56/57.5/59/61.7=20/20/20/20% Capacity