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The "K" trading theorem

Most brokers uses a special thing, the changing Free Margin. If we use one of that type of brokers for tradeing, we have more chance for more profit.

We have to diagnose the global main trend, open a position, and wait for our position have more profit, than the margin, what reserves our money.

If we have an other entry point up to our "zero" point.

That is a basic strategy, how we can collect positions.
If the trend turn round, and we have no more free margin, our positions will be closed, but the reserved money will disengage. If we have more than 2 positions, and we didn't let lots of free margin (it should be 50-100 pips).

For that strategy we have to use a good entrance strategy for minimize the losses!

We do not take any responsibility for the losses!