I am a strategy developer - Swing Trader. Please help me to gain a better understanding of what makes your mark, gauge your satisfaction, and feedback so I can adjust my strategy to better meet your target by answering the 5 questions below:
Which type of strategy would you like to subscribe?
a. Stocks trading only.
b. Futures trading only.
c. Forex trading only.
d. A combination of all at once strategy (Stocks, Futures, Forex).
Your own matching strategy if any?
As you know “Higher risk is associated with greater probability of higher return”. If a strategy generate profits with reasonable of the risk/reward (annual return - compounded) ratio. How much max drawdown do you accept?
a. Max drawdown 5% - Annual return 15%.
b. Max drawdown 10% - Annual return 40%.
c. Max drawdown 20% - Annual return 100%.
As an Investor, do you like to pay a monthly fee or pay a 30% performance fee based on high water mark?
What suggestions do you have to make things better?
My mission here on C2 is to build a long-term, sustainable relationship with subscribers and your feedback helps me continue to improve my services to Investors.
Thank you in advance for taking the time with my short survey. I appreciate it so much, as your feedback will directly help me to improve my trading strategy to bring the best returns to Investors.