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Feraf Trades

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How to Analyze a Lead Copy Trader?We’ve been talking a lot about copytrading, ROI, win rate, Sharpe Ratio, MDD… …but what do these numbers actually mean? And more importantly: How useful are they REALLY for users and copiers? 👇🏽 (Photo 1) Most exchanges like Binance, Bybit, or other copy trading platforms will initially show traders filtered by: • PnL • 30D performance • ROI • MDD • Sharpe Ratio etc. You can also change the timeframe: 7D / 30D / 90D / 180D / 360D Personally, I recommend filtering by: ✅ ROI ✅ 180D or 360D performance Why? Because consistency matters much more than short-term hype. And also because TIME matters. A Lead Trader who has survived multiple market conditions is usually much easier to evaluate than someone who only performed well for a few weeks. Some traders look amazing… until a real volatility event arrives. When BTC dropped from around 122,500 to 101,500 on October 9th, 2025, many “top” Lead Traders completely disappeared. Even some traders I personally considered good enough to diversify part of my own funds into got wiped out during that move. That’s when you understand: Surviving matters more than flexing short-term ROI. (Photo 2) Once you enter a Lead Trader profile, don’t look only at the big green number. You need to understand what each metric means: • ROI Return on Investment. It shows how much the trader has grown their capital in percentage terms. Example: If someone starts with $100 and grows it to $150, that’s a +50% ROI. High ROI is good, but alone it does NOT tell you how much risk was taken to achieve it. — • MDD (Maximum Drawdown) This shows the biggest drop from a peak to a low point. In simple words: How much pain the strategy had to survive before recovering. Example: If an account goes from $10,000 down to $7,000 before recovering, that’s a 30% drawdown. Usually: • under 10% = very controlled • 10-20% = acceptable/moderate • 30%+ = aggressive/high risk A trader making +100% ROI with 50% drawdown is VERY different from someone making +30% ROI with 5% drawdown. — • Sharpe Ratio Risk-adjusted performance. This measures how efficiently returns are generated relative to the volatility/risk taken. In traditional finance: • Sharpe Ratio above 1 = considered good • above 2 = very strong • above 3 = exceptional That’s why many hedge funds and institutional portfolios care more about Sharpe than raw ROI. Higher Sharpe usually means: more consistency with less chaos. — • Win Rate The percentage of trades closed in profit. Example: 8 winning trades out of 10 = 80% Win Rate. Useful, but dangerous if analyzed alone. A trader can have: • 90% Win Rate …and still lose money if the losing trades are massive. — • Copier PnL This shows how much money copiers are ACTUALLY making. Very important. Because the Lead Trader can be profitable while copiers: • get worse entries • pay more fees • experience slippage • or receive delayed execution — • Number of copiers This shows trust and demand, but it is not enough by itself. More copiers does NOT automatically mean: better trader. Sometimes it simply means: better marketing. — • Trading history duration The longer the history, the better. A trader with: 180D or 365D of consistent results is usually much easier to evaluate than someone showing only: 7D or 30D. A trader doing 300% in 30 days means nothing if the risk was extreme or if copiers are not making money. (Photo 3) This is probably the MOST important section. Check: ✅ how long copiers have stayed with the trader ✅ copier ROI over time ✅ consistency across long periods (+180D preferably) Why does this matter? Because copy trading execution is NOT identical to the Lead Trader execution. This is the small text nobody explains 👇🏽 The Lead Trader may execute: • limit orders • market orders • custom entries BUT copiers usually receive a MARKET execution AFTER the Lead enters. That means: ❌ different entry price ❌ different liquidation price ❌ different fees ❌ slippage ❌ delayed execution So what happens? Some “bot/quant/high leverage” traders can generate huge ROI for themselves… …but their copiers may barely make money, make less than 10%, or sometimes even lose money because execution quality matters. There are traders showing: 300%+ ROI in 180D while their long-term copiers barely generated returns. That’s a HUGE red flag. A sustainable Lead Trader strategy should also work FOR THE COPIERS. This is actually one of the reasons why, since becoming a Lead Trader, I intentionally give more space to: • entries • re-entries • stop losses • exits If I were trading completely alone, I could probably trade much more aggressively or “sniper-like”. But because copiers receive delayed market executions after my orders are filled, I need to leave enough room for them to: • enter properly • survive volatility • re-enter positions • and exit correctly as well. That execution difference changes EVERYTHING in copy trading. And finally… If you don’t want to manually analyze everything: Binance AI Analysis (Photo 4) is actually becoming a pretty useful tool 😉🛸 @FG47 #Copytrading BUILDING FREEDOM

How to Analyze a Lead Copy Trader?

We’ve been talking a lot about copytrading, ROI, win rate, Sharpe Ratio, MDD…
…but what do these numbers actually mean?
And more importantly:
How useful are they REALLY for users and copiers? 👇🏽
(Photo 1)
Most exchanges like Binance, Bybit, or other copy trading platforms will initially show traders filtered by:
• PnL
• 30D performance
• ROI
• MDD
• Sharpe Ratio
etc.
You can also change the timeframe:
7D / 30D / 90D / 180D / 360D
Personally, I recommend filtering by:
✅ ROI
✅ 180D or 360D performance
Why?
Because consistency matters much more than short-term hype.
And also because TIME matters.
A Lead Trader who has survived multiple market conditions is usually much easier to evaluate than someone who only performed well for a few weeks.
Some traders look amazing… until a real volatility event arrives.
When BTC dropped from around 122,500 to 101,500 on October 9th, 2025, many “top” Lead Traders completely disappeared.
Even some traders I personally considered good enough to diversify part of my own funds into got wiped out during that move.
That’s when you understand:
Surviving matters more than flexing short-term ROI.
(Photo 2)
Once you enter a Lead Trader profile, don’t look only at the big green number.
You need to understand what each metric means:
• ROI
Return on Investment.
It shows how much the trader has grown their capital in percentage terms.
Example:
If someone starts with $100 and grows it to $150, that’s a +50% ROI.
High ROI is good, but alone it does NOT tell you how much risk was taken to achieve it.

• MDD (Maximum Drawdown)
This shows the biggest drop from a peak to a low point.
In simple words:
How much pain the strategy had to survive before recovering.
Example:
If an account goes from $10,000 down to $7,000 before recovering, that’s a 30% drawdown.
Usually:
• under 10% = very controlled
• 10-20% = acceptable/moderate
• 30%+ = aggressive/high risk
A trader making +100% ROI with 50% drawdown is VERY different from someone making +30% ROI with 5% drawdown.

• Sharpe Ratio
Risk-adjusted performance.
This measures how efficiently returns are generated relative to the volatility/risk taken.
In traditional finance:
• Sharpe Ratio above 1 = considered good
• above 2 = very strong
• above 3 = exceptional
That’s why many hedge funds and institutional portfolios care more about Sharpe than raw ROI.
Higher Sharpe usually means:
more consistency with less chaos.

• Win Rate
The percentage of trades closed in profit.
Example:
8 winning trades out of 10 = 80% Win Rate.
Useful, but dangerous if analyzed alone.
A trader can have:
• 90% Win Rate
…and still lose money if the losing trades are massive.

• Copier PnL
This shows how much money copiers are ACTUALLY making.
Very important.
Because the Lead Trader can be profitable while copiers:
• get worse entries
• pay more fees
• experience slippage
• or receive delayed execution

• Number of copiers
This shows trust and demand, but it is not enough by itself.
More copiers does NOT automatically mean:
better trader.
Sometimes it simply means:
better marketing.

• Trading history duration
The longer the history, the better.
A trader with:
180D or 365D of consistent results
is usually much easier to evaluate than someone showing only:
7D or 30D.
A trader doing 300% in 30 days means nothing if the risk was extreme or if copiers are not making money.
(Photo 3)
This is probably the MOST important section.
Check:
✅ how long copiers have stayed with the trader
✅ copier ROI over time
✅ consistency across long periods (+180D preferably)
Why does this matter?
Because copy trading execution is NOT identical to the Lead Trader execution.
This is the small text nobody explains 👇🏽
The Lead Trader may execute:
• limit orders
• market orders
• custom entries
BUT copiers usually receive a MARKET execution AFTER the Lead enters.
That means:
❌ different entry price
❌ different liquidation price
❌ different fees
❌ slippage
❌ delayed execution
So what happens?
Some “bot/quant/high leverage” traders can generate huge ROI for themselves…
…but their copiers may barely make money, make less than 10%, or sometimes even lose money because execution quality matters.
There are traders showing:
300%+ ROI in 180D
while their long-term copiers barely generated returns.
That’s a HUGE red flag.
A sustainable Lead Trader strategy should also work FOR THE COPIERS.
This is actually one of the reasons why, since becoming a Lead Trader, I intentionally give more space to:
• entries
• re-entries
• stop losses
• exits
If I were trading completely alone, I could probably trade much more aggressively or “sniper-like”.
But because copiers receive delayed market executions after my orders are filled, I need to leave enough room for them to:
• enter properly
• survive volatility
• re-enter positions
• and exit correctly as well.
That execution difference changes EVERYTHING in copy trading.
And finally…
If you don’t want to manually analyze everything:
Binance AI Analysis (Photo 4) is actually becoming a pretty useful tool 😉🛸
@Feraf Trades
#Copytrading
BUILDING FREEDOM
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BTCUSDT
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¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BTCUSDT
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ပိတ်ဈေး
59782.3
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BCHUSDT
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Feraf Trades
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BNBUSDT
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583.56
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¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BCHUSDT
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195.2564
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¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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ETHUSDT
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+0.30
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1823
Most traders try to predict the market. I try to build systems that remove emotions from the process. BCHUSDT 📈 LONG Entry: 192.65 Exit: 205.60 Result: ✅ +100% Position ROI This was the first documented trade generated by Glitch. No emotional decisions. Just trust the process. 🛸 Build. 📈 Trade. ⏳ Wait. 🔁 Repeat. @FG47 #BCH #crypto #trading #BinanceSquare #RiskManagement
Most traders try to predict the market.

I try to build systems that remove emotions from the process.

BCHUSDT

📈 LONG
Entry: 192.65
Exit: 205.60

Result:

✅ +100% Position ROI

This was the first documented trade generated by Glitch.

No emotional decisions.
Just trust the process.

🛸 Build.
📈 Trade.
⏳ Wait.
🔁 Repeat.

@Feraf Trades
#BCH #crypto #trading #BinanceSquare #RiskManagement
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BCHUSDT
အရှုံးအမြတ်(USDT)
+12.95
ပိတ်ဈေး
205.6
GLITCH VS PROP FIRM CHALLENGE A few weeks ago I started building something new. A trading agent called Glitch. The idea was simple: Can a system built around my trading methodology help improve execution, consistency and risk management? Yesterday, Glitch completed another successful ETH setup. Today, I decided to take the next step. I opened a $10,000 Crypto Fund Trader evaluation account and Glitch will attempt to pass the challenge. Rules are straightforward: - Profit Target: 8% - Daily Drawdown: 5% - Maximum Drawdown: 10% No promises. No magic. No “guaranteed profits.” Just data, execution, testing and continuous improvement. Win or lose, I’ll document the journey publicly. @FG47 BUILDING FREEDOM. 🛸 #trading #crypto #bitcoin #Fintech
GLITCH VS PROP FIRM CHALLENGE

A few weeks ago I started building something new.

A trading agent called Glitch.

The idea was simple:

Can a system built around my trading methodology help improve execution, consistency and risk management?

Yesterday, Glitch completed another successful ETH setup.

Today, I decided to take the next step.

I opened a $10,000 Crypto Fund Trader evaluation account and Glitch will attempt to pass the challenge.

Rules are straightforward:
- Profit Target: 8%
- Daily Drawdown: 5%
- Maximum Drawdown: 10%

No promises.
No magic.
No “guaranteed profits.”

Just data, execution, testing and continuous improvement.

Win or lose, I’ll document the journey publicly.

@Feraf Trades
BUILDING FREEDOM. 🛸

#trading #crypto #bitcoin #Fintech
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BTCUSDT
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+1.00
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61160
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BTCUSDT
အရှုံးအမြတ်(USDT)
+0.32
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61865.6
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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66695
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BCHUSDT
အရှုံးအမြတ်(USDT)
-125.00
ပိတ်ဈေး
247.83599875
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BCHUSDT
အရှုံးအမြတ်(USDT)
-66.76
ပိတ်ဈေး
247.84122442
Every trader’s journey is filled with people expecting you to fail. Feraf Trades. Going to zero since 1987. 😉 Still here… STILL BUILDING FREEDOM. 🛸
Every trader’s journey is filled with people expecting you to fail.

Feraf Trades. Going to zero since 1987. 😉

Still here… STILL BUILDING FREEDOM. 🛸
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BTCUSDT
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+19.65
ပိတ်ဈေး
76795
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
¡Acabo de hacer trading de nuevo! Haz clic aquí para copiar mi cartera👇
Feraf Trades
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BTCUSDT
အရှုံးအမြတ်(USDT)
+6.75
ပိတ်ဈေး
77000
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