xSocial Portfolios

Please check the latest xSocial strategies review, made by AMarkets analytics department. Review contains the most experienced strategy providers that are using various trading instruments. You can invest into the strategy portfolios that you like, or create your own portfolio! The main parameter for strategy providers distribution is maximum account drawdown for all times, but in certain cases they also sorted out by the level of used margin. Further selection is based on on the used trading instruments. We wish you successful trading!
Portfolio Specifications
Maximum Drawdown — not more than 100 pips
Average used margin for the portfolio — from 500%
Average portfolio’s gain — 2500 pips
Average portfolio lifetime — from 180 days
 
Recommended Portfolio’s Setting (example):
Stop Loss - 100 pips. If 1 lot is used - 10 pips
Low Risk Portfolio — 2-8% maximus account loss. Recommended deposit $500
Maximum possible loss in USD: Account balance * Risk (500*2%=$20)
Maximum trade size in lots: Balance*Risk/ (100*10)=0.01
 
Low Risk #1
Provider’s name Amount of trades Maximum Drawdown (pips) Average trade gain(pips) Used Margin Level Duration (days) Instruments Total Gain (pips)
guantanamera 55 -75.8 7.6 667.66% 767 EURUSD 418.5
darklutin 54 -5 14.1 6332.92% 1125 EURUSD 762.3
Thomas 102 0 133.1 457.77% 223 EU50 13578
This portfolio unites signal providers specializing in trading EURUSD and EU50. Minimal drawdown, excellent profit margins, as well as a long period of trade of providers allow us to objectively assess the effectiveness of the entire portfolio. In our rating he has the statute as the most attractive.
Low Risk #2
Provider’s name Amount of trades Maximum Drawdown (pips) Average trade gain(pips) Used Margin Level Duration (days) Instruments Total Gain (pips)
Milan0015 117 -23 298.2 1390.21% 368 DE30 34889.1
Robert Dala 120 -2 45.8 1728.41% 326 US500 5496.6
Balseiras1968 58 0 632.2 1824.55% 1441 DE30 36666
Traders of this portfolio specialize in trading the German DAX30 index and US US500. The use of highly liquid instruments by traders speaks of an excellent fundamental awareness of signal providers, and high yields against insignificant risks only underline their professionalism. Given the minimum drawdown, this portfolio is also given the role of one of the most low-risk investment decisions.
Low Risk #3
Provider’s name Amount of trades Maximum Drawdown (pips) Average trade gain(pips) Used Margin Level Duration (days) Instruments Total Gain (pips)
darklutin 118 -3.2 38.4 6332.92% 1202 EURJPY 4534.9
lukaskadlec 84 -874 139.4 888.02% 1222 DE30 11710
cwyni 90 -39 5.7 1000% 1178 EURUSD 515.4
Nomades87 69 0 10.9 454.98% 299 GBPUSD 748.8
One of the most diversified portfolios, based on conservative trading cross-rate EURJPY, index DE30 and majors GBPUSD and EURUSD. Such a distribution allows us to successfully use a different state of the world market to conclude the most profitable transactions. Despite the increased volatility of assets, signal providers do not allow significant drawdowns and a large deposit load.
Portfolio Specifications
Maximum Drawdown — not more than 900 pips
Average used margin for the portfolio — from 350%
Average portfolio’s gain — 10,000 pips
Average portfolio lifetime — from 300 days
 
Recommended Portfolio’s Setting (example):
Stop Loss - 200 pips. If 1 lot is used - 10 pips
Low Risk Portfolio — 9-15% maximus account loss. Recommended deposit $5,000
Maximum possible loss in USD:Account balance * Risk (5,000*2%=$450)
Maximum trade size in lots: Balance*Risk/ (100*10)=0.45
 
Moderate Risk Portfolio #1
Provider’s name Amount of trades Maximum Drawdown(pips) Average trade gain(pips) Used Margin Level Duration(days) Instruments Total Gain (pips)
Thomas 102 0 133.1 457.77% 223 EU50 13578
doors 115 -72 6.4 231.06% 1308 US500 733
MSTrade 55 -187.1 28 255.01% 578 EURUSD 1538.6
In the trade of this portfolio, one of the most popular European and American indices is used, as well as a currency asset. In addition to high profitability indicators, this portfolio is also characterized by minimal risks among all portfolios of this category.
Moderate Risk Portfolio #2
Provider’s name Amount of trades Maximum Drawdown(pips) Average trade gain(pips) Used Margin Level Duration(days) Instruments Total Gain (pips)
apokalipso13 115 -16.5 6.7 1469.72% 215 AUDUSD 765.3
russkij 145 -53.6 2 481.72% 240 EURUSD 282.8
chemavill 52 -84.1 14.8 462.12% 276 USDJPY 768.1
The trading decisions of the providers of this portfolio are based on the definition of trend movement in the medium term, while not excluding short-term speculation. Assuming not a high level of drawdown, providers successfully distribute the load, while maintaining a sufficient level of collateral.
Moderate Risk Portfolio #3
Provider’s name Amount of trades Maximum Drawdown(pips) Average trade gain(pips) Used Margin Level Duration(days) Instruments Total Gain (pips)
Zezinho 60 0 24.9 192.77% 1055 GBPUSD 1495.1
Ni15 126 -31 3.9 311.76% 746 EURUSD 493.1
Marcel21 58 -112 34.3 4175.54% 258 DE30 1987
jmterracan 196 -205.7 21.4 130.97% 510 EURUSD 4187.8
This portfolio unites liquidity providers that specialize in the trend trading of high-yield foreign currency assets and the DE30 index. A special feature of the portfolio is the use of EURUSD, deals in which provide more than half of the total income.
Portfolio Specifications
Maximum Drawdown — not more than 1300 pips
Average used margin for the portfolio — from 100%
Average portfolio’s gain — 25,000 pips
Average portfolio lifetime — from 300 days
 
Recommended Portfolio’s Setting (example):
Stop Loss - 400 pips. If 1 lot is used - 10 pips
Low Risk Portfolio — 17-24% maximus account loss. Recommended deposit $15,000
Maximum possible loss in USD: Account balance * Risk (15,000*2%=$2550)
Maximum trade size in lots: Balance*Risk/ (100*10)=2.25
 
High Risk Portfolio #1
Provider’s name Amount of trades Maximum Drawdown(pips) Average trade gain(pips) Used Margin Level Duration(days) Instruments Total Gain (pips)
FIGHTCLUB 67 -17.8 253.1 331.26% 823 OIL.WTI 16958.1
mad 64 -506.2 12.3 429.83% 103 US30 787.6
jmterracan 196 -205.7 21.4 130.97% 510 EURUSD 4187.8
The basis of this portfolio is the trade in US index US30 and oil WTI, as well as currency asset EURUSD. Given the high percentage of successful transactions, we can state that signal providers are well aware of the current news background. 89% of successful transactions are a clear confirmation of this.
High Risk Portfolio #2
Provider’s name Amount of trades Maximum Drawdown(pips) Average trade gain(pips) Used Margin Level Duration(days) Instruments Total Gain (pips)
paltes 261 -2.1 8.9 226.74% 223 EURUSD 2324.8
DB 58 -574.2 26.9 796.23% 103 US500 1559.8
strongstock 212 -499 163.9 127.61% 282 FRA40 34740
Providers of this portfolio use one of the most popular trading instruments CFD and EURUSD. However, given the low level of collateral, compensated by the average drawdown, this portfolio belongs to the group of high-risk ones.
High Risk Portfolio #3
Provider’s name Amount of trades Maximum Drawdown(pips) Average trade gain(pips) Used Margin Level Duration(days) Instruments Total Gain (pips)
Aness3 108 -735.8 11.6 167.81% 923 EURUSD 1254.8
VAA 57 -157 52.4 204.78% 387 US30 2984.8
Zezinho 179 -797.6 6.3 192.77% 1032 EURUSD 1121.9
cflh 84 -561 57.2 92.23% 227 DE30 4806
Given the low level of collateral, as well as the high average drawdown, this investment decision falls under the category of risky. Nevertheless, a high percentage (more than 90%) of successful transactions and excellent profitability still make the portfolio very attractive for investments.