Started to trade a system from the beginning of this year. After the first quarter the result is about 14xRisk and max drawdown about 2xRisk. I trade only long and only higher timeframe like Daily and Weekly. From the second quarter is reduced the frequency of trading but I still expect about 5-10xRisk per quarter. Stop loss and take profit targets prices are indicated in percentage points from the current price. I use cTrader platform to measure targets in percents. Trades are manually closed if swap or time criteria are met.