THE BCV STRATEGY (Boom, Crash & Volatility)
Recommended pairs to trade
• Volatility 100
• Volatility 75
• Volatility 50
• Volatility 100 (1s)
• Volatility 50 (1s)
• Volatility 75 (1s), among other pairs on Deriv.
Lot sizes for Volatilities (Risk Management)
Volatility 100 – 0.30
Volatility 75 – 0.003
Volatility 50 – 6
Volatility 100 (1s) – 0.30
Volatility 50 (1s) – 0.003
Volatility 75 (1s) – 0.003
• Note: Be careful of the lot sizes on Deriv whenever you switch to a different chart pair,
the lot sizes tend to remain the same or change. Thus, always double check the lot size of
the pair you are trading in relation to your risk management plan.
The BCV Strategy
Recommended Time frame – 5 minutes
Add Period Separators – These represent days.
Moving Averages;
5 M.A – Period: 5
Method – Simple
Style – Blue
Apply to - Close
Then;
300 M.A – Period 300
Method – Simple
Style – Red
Recommended pairs to trade
• Volatility 100
• Volatility 75
• Volatility 50
• Volatility 100 (1s)
• Volatility 50 (1s)
• Volatility 75 (1s), among other pairs on Deriv.
Lot sizes for Volatilities (Risk Management)
Volatility 100 – 0.30
Volatility 75 – 0.003
Volatility 50 – 6
Volatility 100 (1s) – 0.30
Volatility 50 (1s) – 0.003
Volatility 75 (1s) – 0.003
• Note: Be careful of the lot sizes on Deriv whenever you switch to a different chart pair,
the lot sizes tend to remain the same or change. Thus, always double check the lot size of
the pair you are trading in relation to your risk management plan.
The BCV Strategy
Recommended Time frame – 5 minutes
Add Period Separators – These represent days.
Moving Averages;
5 M.A – Period: 5
Method – Simple
Style – Blue
Apply to - Close
Then;
300 M.A – Period 300
Method – Simple
Style – Red