Imran Lakha
@Ilakha Performance 0% Return All
0% Return
0%2025
2025
-10.16%2024
2024
6.78%2023
2023
-12.09%2022
2022
8.75%2021
2021
12.62%2020
2020
4.44%2019
2019
12.6%0%-12.6%
Return YTD -
Return 2Y -4.08%
Risk Score
-
Profitable Weeks 69.09%
About IlakhaUnited Kingdom
About Ilakha
United Kingdom 𝙋𝙍𝙊𝙁𝙀𝙎𝙎𝙄𝙊𝙉𝘼𝙇 𝙀𝙓𝙋𝙀𝙍𝙄𝙀𝙉𝘾𝙀
✦ 20 years trading Equity indices, Derivatives and Global Macro.
✦ Former Head of European Index Options Trading at BofA and Citibank
✦ Former Macro Hedge-fund Portfolio Manager
✦ CEO and Founder of Options Insight Training
https://www.options-insight.com/
𝙄𝙉𝙑𝙀𝙎𝙏𝙈𝙀𝙉𝙏 𝙊𝘽𝙅𝙀𝘾𝙏𝙄𝙑𝙀𝙎
✦ Superior, uncorrelated and risk adjusted returns
✦ Target risk score (5-6)
✦ Target return (20%+)
✦ Low trade frequency
✦ Medium time horizon
✦ Hunting for long term value in crypto and commodities
𝙏𝙍𝘼𝘿𝙄𝙉𝙂 𝙎𝙏𝙍𝘼𝙏𝙀𝙂𝙔
✦ Global cross asset macro swing trading
✦ Technical analysis driven mean reversion
✦ Main indicators - Momentum oscillators, Bollinger bands, Fibonacci, Divergence and Elliot Wave
✦ Fundamental macro framework monitoring cross asset correlations to diversify risk
𝙏𝙤 𝙘𝙤𝙥𝙮 𝙢𝙚....
→ Copy with $1000 for 6 months minimum
→ DO copy open trades
→ Feel free to ask questions
67 Copiers
5.8K Followers
Top Traded
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