London & New York SP500

A meticulously crafted trading strategy designed to capitalize on the dynamic fluctuations of the SP500 index.

Rationale Class
Scalping
Risk Classification
Intermediate Moderate
Starting date
2024
Audited Account
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Detailed description
of the Strategy

A meticulously crafted trading strategy designed to capitalize on the dynamic fluctuations of the SP500 index. This sophisticated approach leverages the unique characteristics of the North American and European trading sessions to deliver optimal results.

At the heart of this strategy lies a commitment to precision and discipline. By maintaining a single, carefully managed position at any given time, the London & New York SP500 allows traders to focus their attention on maximizing the potential of each trade. The incorporation of both stop-loss (SL) and take-profit (TP) orders provides a robust risk management framework, ensuring that potential losses are limited while profits are secured.

To further enhance the strategy's efficiency, a trailing stop mechanism is employed. This adaptive tool allows traders to ride winning positions while automatically adjusting the stop-loss level to lock in gains as the market moves in their favor.

Recognizing the heightened volatility and liquidity during the New York and London trading sessions, the London & New York SP500 is specifically tailored to capitalize on these periods of heightened market activity. By concentrating trading efforts during these peak times, the strategy aims to optimize execution and minimize slippage.

Key Features of the London & New York SP500:

  • Single Position Focus: A disciplined approach to position management.
  • Strict Risk Management: Rigorous use of stop-loss and take-profit orders.
  • Trailing Stop: Maximizing profits while minimizing risk.
  • Session-Specific Focus: Capitalizing on the most active trading periods.

In conclusion, the London & New York SP500 offers a compelling proposition for traders seeking a refined and effective approach to navigating the complexities of the SP500 market. By combining a deep understanding of market dynamics with a rigorous trading methodology, this strategy is designed to deliver consistent and profitable results.

Main Portfolio
Composition

Average Target
Performance

-0.05
%
-0.05
%
-0.05
%
1D
1D
1D
-0.69
%
-0.69
%
-0.69
%
1W
1W
1W
-2.79
%
-2.79
%
-2.79
%
1M
1M
1M
0
%
0
%
0
%
3M
3M
3M
0
%
0
%
0
%
6M
6M
6M
0
%
0
%
0
%
1Y
1Y
1Y

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Investor Services

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Investor Services

If you are interested in our full Offer Catalogue for Qualified Investors, please apply through the FCA Investor Application Form.

If your Application meets the FCA requirements; one of our investor relations representatives will kindly contact you to walk you through the entire process up to the consolidation of your account as a Qualified FCA Investor.

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WhatsApp Channel

By scanning with your camera or clicking on the QR code, you will be able to access the official channel of the strategy managed by MIDDLEMAN. In this channel, you will find financial information, relevant news, announcements, communities, among other things of interest to investors.