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Trading Results and Profitability

We are not just sending trading signals. Excellent profitability results which we achieve with our signals are based on complete SYSTEM OF TRADING.

When trading with our signals, the profitability results are based on combination of MONEY MANAGEMENT SYSTEMS + SIGNALS WIN RATE + SEQUENTIAL STABILITY.

We have put much effort to precisely balance all three components with goal of building a complete low-risk/high-reward systematic trading solution for binary options trading. This is one of the major advantages of our binary options trading signals service when compared to other services. In most cases other services lack at least one of the important equation components, if not all.

That's why our results outperform all current binary options signals services available in the online market today.

 


 

Money Management Systems

Everyone wants to see the profitability results first, so we are publishing this information on top. Results are based on trading signals generated in 2015.


Different profitability scenarios are presented, based on different money management systems:

- EXPONENTIAL MONEY MANAGEMENT with 5% per-trade, 7% per-trade and 10% per-trade investment,

- FIXED INVESTMENT MONEY MANAGEMENT.

 

Exponential Money Management

Using exponential money management is the best way for fast profiting with binary options trading. This means you can start with a small investment and make profit ever more rapidly as your total account balance is increasing. If the trading system/signals have a reliable sequence of winning trades and there are not many consecutive losses, even the low win rate can bring substantial profits if exponential money management is applied. Our sequence shows excellent stability, therefore exponential money management can be advised to trade with our signals. Below you can find three examples of exponential money management applied to signals generated in 2015.

 

Trading With 5% Per Trade - Maintaining Low Risk

Initial investment (1.1.2015): $1.000

Current account balance (31.12.2015): $28.725

Per-cent growth in 2015: 2872%

If you are trading with 5% per trade investment you are constantly staying within the minimum risk.

This is an example of 5% per trade investment which shows your profits if you would start trading with $1000 base investment and initial pert-trade investment of 5% ($50). As your account balance grows you are constantly maintaining the same risk and investing 5% of your total account balance into each trade. If you hit a losing trade or a sequence of losing trades, you continue investing the last highest sum until your balance recovers the loss. Once you exceed your last account total high, you re-adjust the per-trade investment to 5% of new account total. This system maintains the risk of losing your total account balance to the sequence of 20 consecutive losing trades.

 

This money management system starts with minimum risk (5% per trade) and provides slow but progressive account growth while constantly maintaining low risk.

realbinaryoptionssignals 2015 results LOW RISK

'LOW RISK' money management (5% per trade) with all signals traded would have brought 2872% profit (from 1.1.2015 to 31.12.2015).
That is $28.725 profit from $1.000 starting investment.

 

Trading With 7% Per Trade - Maintaining Moderate Risk

Initial investment (1.1.2015): $1.000

Current account balance (31.12.2015): $106.180

Per-cent growth in 2015: 10618%

If you are trading with 7% per trade investment you are constantly staying within the moderate risk.

This is an example of 7% per trade investment which shows your profits if you would start trading with $1000 base investment and initial pert-trade investment of 7% ($70). As your account balance grows you are constantly maintaining the same risk and investing 7% of your total account balance into each trade. If you hit a losing trade or a sequence of losing trades, you continue investing the last highest sum until your balance recovers the loss. Once you exceed your last account total high, you re-adjust the per-trade investment to 7% of new account total. This system maintains the risk of losing your total account balance to the sequence of 14 consecutive losing trades.

 

This money management system starts with moderate risk (7% per trade) and provides moderate progressive account growth while constantly maintaining moderate risk.

Realbinaryoptionssignals 2015 Results - MODERATE RISK

'MEDIUM RISK' money management (7% per trade) with all signals traded would have brought 10618% profit (from 1.1.2015 to 31.12.2015).
That is $106.180 profit from $1.000 starting investment.

 

 

Trading With 10% Per Trade - Maintaining High Risk

Initial investment (1.1.2015): $1.000

Current account balance (31.12.2015): $727.718

Per-cent growth in 2015: 72771%

If you are trading with 10% per trade investment you are constantly staying within the maximum risk.

This is an example of 10% per trade investment which shows your profits if you would start trading with $1000 base investment and initial pert-trade investment of 10% ($10). As your account balance grows you are constantly maintaining the same risk and investing 10% of your total account balance into each trade. If you hit a losing trade or a sequence of losing trades, you continue investing the last highest sum until your balance recovers the loss. Once you exceed your last account total high, you re-adjust the per-trade investment to 10% of new account total. This system maintains the risk of losing your total account balance to the sequence of 10 consecutive losing trades.

 

This money management system starts with high risk (10% per trade) and provides fast and progressive account growth while constantly maintaining high risk.

realbinaryoptionssignals 2015 results HIGH RISK

'HIGH RISK' money management with all signals traded would have brought 72771% profit (from 1.1.2015 to 31.12.2015).
That is $727.718 profit from $1.000 starting investment.



Fixed Investment Money Management

Fixed investment money management can be advised to traders who start trading with a bit higher initial account balance and want to trade with the lowest risk possible and are satisfied with lower profits. For example, if a trader has $10.000 on his account, he can decide to invest $100 (only 1%) into each trade and withdraw whatever profits are made every month. Such system of investment reduces the risk of total account balance loss that depends on the sequential stability and actual profits depend much more only on the win rate performance. It is also possible to start with for example $1.000 initial account balance and $100 (10%) per-trade investment and gradually lower the risk as your account balance grows by always investing the same amount ($100 per-trade).

 

Trading With Fixed $100 Per Trade - Lowering the Risk

Initial investment (1.1.2015): $1.000

Current account balance (31.12.2015): $7.850

Per-cent growth in 2015: 785%

If you are trading with fixed per trade investment you are constantly lowering the risk as your total account balance grows.

This is an example of fixed investment money management system starting with 10% per trade investment which shows your profits if you would start trading with $1000. As your account balance grows you are constantly lowering the risk. You start by investing 10% of total account balance ($100) and you are always investing the same amount. As your account grows your risk is always lower, however the growth of your profits is linear and thus slower as with exponential money management approach.

 

realbinaryoptionssignals 2015 results FIXED INVESTMENT

 


 

Win Rate Statistics

Real Binary Options Signals algorithm produced 341 confirmed signals in 2015. Out of 341 trades 225 resulted with a WIN and 116 resulted with a LOSS. This computes to a yearly average of 65.98% WIN RATE.

If this seems low when compared to other signal services, it is only because our data and presentations are 100% real. Many (scam) signal services like to advertise high win rates, but their results are in most cases fake or only partially presented. In many cases the signals are not 100% trade-able with the same results. Based on extensive binary options products market research that we have conducted in the past years, we can claim that any signal service stating over 72% win rate is subjected to at least one of the two accounted reasons.

As you can see, when looking at the profitability charts above, even a 65.58% win rate can produce extreme profits. With 82% return rate on winning trades, the win rate break-even level is at 55%. Any win rate above 55% yields profits, especially if proper technique of exponential investment is implemented. How fast the profits can be accumulated depends greatly on money management system and total number of trades.

 

Real Binary Options Signals - Win Rate Performance in 2015 (Monthly Breakdown)

real binary options signals win rate performance 2015

 


 

Sequential Stability

Besides showing an excellent win rate, our trading system and algorithms are designed to maintain strong sequential stability.

Sequential stability means that the chance to hit the total account balance loss because of a sequence of losing trades is greatly reduced. In 2014 and 2015 even the high risk approach (10% per-trade) sustained the WIN/LOSS sequence without hitting the zero level.

 

Real Binary Options Signals - Win/Loss Sequence in 2015 (Monthly Breakdown)

real binary options signals trades sequence 2015

 


 

Additional Mechanisms for Improving Sequential Stability, Compatibility and Profitability

Our trading system uses multiple mechanisms to maximize the profits and further reduce the risks.

 

ONE ASSET TRADES - We offer signals only for EUR/USD currency pair.

EUR/USD is the most profitable asset for binary options trading.

One of the reasons is that most binary options brokers offer the highest return rates on EUR/USD trades. Even a small difference in return rate percentage can make a big difference in profits, especially after large number of trades are made. EUR/USD trading is offered by all binary options brokers and unlike stocks, indices or commodities, the Forex market is open 24/5. Another reason is that our algorithms were specifically developed for EUR/USD currency pair and they perform best with this asset - so we limit our signals only to EUR/USD.

 

OPEN TRADES LIMIT - Maximum two trading positions open at a time.

Focus on one asset and limit of number of open trades strengthens the sequential stability.

Some signal services will send you multiple signals for assets containing the same currency (for example EUR/USD, EUR/GBP, EUR/JPY at the same time) with same entry and same expiry time. If the signal prediction based on movement of EUR is wrong, this can result in a losing trade with all three traded pairs. Of course opposite scenario is possible with three winning trades. However, such approach ads much more risk to sequential stability, not to mention the fuss of opening three different trades at the same time.

If you trade only one pair, of course you can have three losing trades in a row. But when compared to trading three pairs, with same scenario, you would have nine losing trades in a row.

With our signals you have in most cases only one trade open at the time. Only in cases where our system rules indicate that additional trade should be placed with different expiry time you enter another trade while the firs one is still open. The second trade is placed only when the trading rules indicate a higher probability of a second trade resulting in a win, and we actually use this approach to additionally stabilize the system.

 

MID-TERM EXPIRY TIMES - Signals for 30 minutes and 60 minutes expiry trades.

There are many advantages of mid-term expiry times over short term signals. Especially when it comes to signal based trading.

First advantage is compatibility. Since most brokers offer 30 and 60 minute expiry times you can trade our signals with almost any broker.

Second advantage is profitability. Many brokers offer higher return rates on trades with longer expiry times, especially 30 and 60 minutes trades.

The third advantage is precision. In case of 30 and 60 minutes expiry trades the price of the traded asset has more time to move strongly in one or other direction.

With short expiry times, where often the price movements are small, if the broker's charts are not precise, the trade which should be a win can sometimes result in a loss or vice versa. In such cases some of the actual trade results can be different from the signal results. With our signals with fixed 30 and 60 minutes expiry times it is always clear what were the actual trade results and these can be clearly compared with our signals results.

 

TWO LEVEL TRADES - Based on system rules sometimes two trades are placed on a single signal.

'Two level trades' system increases total number of trades and adds stability to trading sequence.


The first level trade potential is calculated by our trading algorithm which finds the profitable entry level 15 minutes before the trade should be placed. At this point the signals are sent to our customers.

If the alert conditions specified in the alert are met at the trade entry time (15 minutes after the signal is sent), the first level trade is placed with 30 minutes expiry.

If the trade is out of the money (OTM) 15 minutes after opening, second level trade is placed with 60 minutes expiry.

This system maximizes the potential of profitable outcome, strengthens the sequential stability and allows more trades to be placed which in turn can bring much more profit in shorter amount of time.

 

 

NEXT: Trading Instructions and Trading System Rules