I’m David Monroy, manager of OHA. I open this topic to make this DARWIN known.
My trading methodology is manual and is based on analysis of price behaviors in high liquidity zones. I hold the positions for between one and several days (Swing Trading). I use MN and W1 graphics for macro analysis, and D1 graphic for execution. The assets traded are the 28 main currency pairs and gold. The risk per position is 2% of the equity. I take partial TPs (several TPs per position).
Weekly summaries of positions: YouTube Channel
Please feel free to comment or ask questions.