EUR/USD
Asia low swept, 15m BOS, retest of breaker. Partial at 2R, trail to 3.4R.
$500 borrowed, blown in a week. Five years later: 7 figures and my own broker. Same pairs, two sessions, no shortcuts.
Trade my capital. Run RichoffxCapital. Mentor a small group 1:1. That's it.
Not Wall Street — the streets. $500 borrowed, blown in a week. Five years later: first million, my own broker, my own rules.
$500 borrowed, blown in a week. Lesson learned the hard way.
3 setups, 8 instruments, 2 sessions. Consistency clicked.
7 figures trading my own capital. No boss, no permission.
My own broker. Zero middlemen, zero retail traps.
10 points before any chart opens. Skip one — no trade.
Every trade tagged. Reviewed each Friday.
Repeat errors become rules. Willpower's for amateurs.
60 min every Saturday. What to keep, what to cut.
Four principles run every decision. They're the filter that turned $500 into seven figures — and they're non-negotiable.
I don't predict markets — I respond to them. The setup either prints, or it doesn't.
Reward is downstream of risk. Define the loss first; let the profit be whatever the market gives.
One great month means nothing. Twelve average months in a row mean everything.
8 instruments, 3 setups, 2 sessions. Mastery compounds where attention concentrates.
From $500 borrowed to seven figures. Every digit pulled straight from broker statements — no curated week, no selective screenshots, full unfiltered history.
Last 12 months · % return on capital
Std. dev. of weekly returns: 0.62%. The boring kind of consistency that compounds into seven figures.
Year-to-date · own account
Real money · receipts on file
↗ and countingEvery tick is a real trade. No backtest, no demo, no rebases. The line goes up because the process didn't change — only the size did.
Capital preservation is the only KPI that survives long enough to make you rich. Ten losers in a row don't break the account.
Hard cap at -8%. Day stops at -3%.
Fixed sizing. Never doubled on losers.
Auto-kill switch. Platform shuts.
Open exposure ≤ 2R, correlation-adjusted.
The process is the edge. Six steps, same order, every session.
Daily/4H bias. Define regime: trend, range, news.
Map session highs/lows and institutional levels.
Wait for one of three setups. No setup, no trade.
Stop decides size. Risk fixed first, always.
Hard SL on platform. No mental stops. No averaging.
BE at 1R, partial at 2R. Journal within 24h.
Small universe on purpose. Same instruments, same hours, same setups — every week. Mastery compounds where attention concentrates. So does the bank account.
Primary — best liquidity, cleanest moves.
Secondary, news-driven, more selective.
Liquidity grab of Asian range high/low at London open, structural shift on 5–15m. Entry on retest of breaker.
On a clear daily/4H trend, wait for pullback into HTF demand/supply or 50% Fib. Entry on confirmation candle.
Selective fade of overextended initial reactions to medium-impact news. 1R stop, walks if not in profit in 30 min.
Two trades, same playbook. Small losses, big winners. That's the math.
Asia low swept, 15m BOS, retest of breaker. Partial at 2R, trail to 3.4R.
Stopped by news spike. Setup was valid, loss capped at 1R — not a mistake.
Trust isn't built on screenshots. Every claim here is third-party verifiable.
London sweep, +3.4R, $42K printed in 90 minutes. Partial at 2R, runner trailed.
Stopped on a news spike. Setup was clean, loss capped at -1R. Textbook — that's the job.
From zero to a profitable trader.
The same system that took me from $500 to 7 figures. Real plays, real risk, real money — hundreds of operators, every session.
Detailed setups · entries, stops, targets.
Weekly webinars and exclusive courses.
Traders backing each other every session.
Protect your capital before chasing returns.
Two ways in: join the community, or go premium with 1:1 mentorship.
Drop me a line. I read every email myself, reply within 48h.
I read every email personally. No mailing list, no spam, no excuses.