Skip to product information
1 of 1

Forex Villa Pro

Risk Manager V3+ Ultimate

Risk Manager V3+ Ultimate

Regular price R 750.00
Regular price R 1,000.00 Sale price R 750.00
Sale Sold out


About the System

The primary function of Risk Manager V3+ Ultimate is to automate the trading process, allowing users to have more free time while it manages their trading accounts. Users are only required to attach the system to a chart, and it will execute trades and manage them fully automatically. Users can monitor their accounts periodically to ensure that the system is performing according to their expectations.

It’s important to note that while automated trading systems can streamline the trading process, users should still be vigilant and periodically review their strategy and system settings to ensure they align with their financial goals and risk tolerance. Additionally, stay informed about major market events that may impact your trading strategy.

Trading Opportunities with Risk Manager V3+ Ultimate

Risk Manager V3+ Ultimate opens up a world of trading possibilities by offering a wide range of tradable assets. Whether you’re interested in forex, commodities, cryptocurrencies, indices, binary options, or synthetic markets, this expert advisor has you covered. Below, we’ll explore the diverse trading opportunities that you can harness with Risk Manager V3+ Ultimate:

1. Forex Currencies (e.g., EURUSD):

Dive into the exciting world of forex trading with Risk Manager V3+ Ultimate. Trade major, minor, and exotic currency pairs, such as EURUSD, GBPJPY, or USDTRY, to capture opportunities in the global currency markets.

2. Commodities (e.g., XAUUSD):

Participate in the commodities market by trading assets like gold (XAUUSD) and other precious metals, as well as energy products like oil. Risk Manager V3+ Ultimate helps you navigate the volatility of commodity prices effectively.

3. Cryptocurrencies (e.g., Bitcoin):

Embrace the digital revolution with cryptocurrency trading. Risk Manager V3+ Ultimate allows you to trade popular cryptocurrencies like Bitcoin, Ethereum, and Litecoin. Capitalize on the fast-moving crypto markets.

4. Indices (e.g., Nasdaq):

Get exposure to the performance of entire stock markets by trading indices. Invest in indices like the Nasdaq, S&P 500, or Dow Jones to track the overall health of the stock market.

5. Binary Options (e.g., EURUSDbo):

Explore the simplicity and potential profitability of binary options trading with assets like EURUSDbo.
Risk Manager V3+ Ultimate can automate your binary options trading, making it more efficient and convenient.

6. Synthetic Markets (e.g., Volatility 100, 75, 50, 25, & 10 Index):

Venture into synthetic markets that offer unique trading opportunities. Trade synthetic assets like Volatility 100, 75, 50, 25, and 10 Index to speculate on market volatility.

With Risk Manager V3+ Ultimate, you can seamlessly switch between these diverse asset classes, diversifying your trading portfolio and capitalizing on various market conditions.

The expert advisor is designed to provide you with the freedom to explore multiple trading opportunities while ensuring efficient and automated risk management.

Simply attach the system to your chosen asset’s chart, and let it take care of the trading process, allowing you more time for other pursuits while it manages your trading accounts.

Risk Manager V3+ Ultimate: Winning Rate & Accuracy

System Accuracy and Profitability:

Risk Manager V3+ Ultimate offers a dynamic trading experience with a remarkable degree of accuracy. Its performance can vary based on several factors, including market volatility, prevailing market conditions, overall market structure, and the distinct stages present in financial markets, such as the Ascending Stage, Distribution Stage, Descending Stage, and Accumulation Stages.

  • The system’s accuracy typically ranges from 10% to an impressive 60% profitability. This variability accounts for the ever-changing nature of the financial markets.
  • The potential to achieve high profitability depends on the specific conditions at the time of trading, making Risk Manager V3+ Ultimate adaptable to diverse market environments.

Account Growth and Risk Mitigation:

Risk Manager V3+ Ultimate is designed to optimize account growth while diligently managing risk and drawdown.

  • The system excels in managing one open trading position, whether it’s a Long (Buy) or Short (Sell) position, with an exceptionally high level of accuracy.
  • Risk is carefully controlled to ensure it stays below 10% drawdown of the entire equity. This control is in proportion to your account size, considering factors such as equity, balance, free margin, and leverage.
  • Risk Manager V3+ Ultimate sets a targeted profit level exceeding 15%, providing an attractive risk-reward profile.
  • To safeguard your gains, the system includes position management tools like trailing stop loss and break-even functionality. These mechanisms activate when your trade achieves a 10% profit, with incremental steps of 5% to protect your position.
  • The system maintains a balanced risk-to-reward ratio of 1 to 1, ensuring that the potential rewards align with the level of risk assumed for each position.

In summary, Risk Manager V3+ Ultimate combines precision trading with effective risk management to provide traders with a versatile and robust trading tool. Its adaptability to varying market conditions and commitment to optimizing profitability while limiting risk make it a valuable resource for traders looking to enhance their trading performance. With this system, you can harness the power of automation while maintaining strict control over your trading outcomes.

Indicators Used:

Stochastic Oscillator:

The Stochastic Oscillator is used as an entry trigger. It helps identify overbought and oversold conditions in the market. Buy signals are generated when the Stochastic crosses above a specific threshold (e.g., 20), indicating a potential uptrend. Conversely, sell signals are generated when it crosses below a higher threshold (e.g., 80), indicating a potential downtrend.

50 and 100 Moving Averages:

These Moving Averages are used to filter the overall trend direction. When the 50-period Moving Average crosses above the 100-period Moving Average, it suggests a potential uptrend, and vice versa for a downtrend.

Average True Range (ATR):

ATR is utilized to determine the Stop Loss (SL) and Take Profit (TP) levels dynamically. ATR measures market volatility, and by using a multiple of the ATR, you can set adaptive SL and TP levels that account for current market conditions.

In conclusion, Risk Manager V3+ Ultimate is meticulously crafted from Price Action Trading Strategies, enabling it to engage directly with market prices for a comprehensive, long-term assessment of market trends. When integrated with any financial market, it possesses the capability to initiate trading positions, be it Long (Buy) or Short (Sell), aligned with the overarching long-term market trajectory. Impressively, it exhibits an exceptional accuracy rate, surpassing 80%, for individual positions, making it a formidable tool for traders seeking precision and effectiveness in their trading endeavors.

View full details