Long Vision is a forex system portfolio based primarily on volatility strategies in different currencies, with very strict parameters to control the risk (maximum number of “trades” partial closures, breakeven…) that in a market with strong “trends “works very well. There are also other different strategies with less weight (scalping, retrace…) to compensate for periods where volatility side does not help. The overall result is very interesting with a “drawdown” totally under control, which is paramount in this portfolio.
The portfolio is based on “Volatility Breakout” strategy in different symbols. It works very profitable with strong trends.