Yaroslav Naumov, born in 1994.
In 2011, I enrolled at the Moscow Economic Institute, where I earned a degree in Finance and Credit. Even during my studies, I developed a strong interest in financial market analysis and began taking my first steps in trading.
Since 2014, I have been trading professionally. Over 11 years of active work in the financial markets, I have executed more than 21,000 trades with a success rate of 93%. My total career earnings have exceeded 8 million USD.
My trading approach combines discipline, analytics, and strategic thinking. I actively utilize technical analysis tools, including:
- price and volume charts,
- moving averages (MA),
- RSI and MACD indicators,
- Bollinger Bands,
- and price behavior analysis across different market phases.
These tools help me accurately identify entry and exit points, as well as short- and long-term trends.
A strict risk management system is a core part of my strategy. It is based on capital control, limiting losses, and diversification. I firmly believe that disciplined risk management is what separates a consistent trader from a gambler.
Over the years, I have gained not only significant financial experience but also developed my own philosophy of success in trading, based on three key principles:
Analysis. Learning. Patience.
Today, I continue to hone my skills, stay up to date with global economic trends, and actively share my knowledge with those who are eager to grow in trading. I believe that success is achievable for anyone who is willing to learn, work on themselves, and keep moving forward.