I am testing all 7 curr on my trial account now. I have seen all videos with Petkov’s instructions. After testing it few days I can see different resault from different pairs… but it is difficult to expect same resault next week as this week. So this is why I am wondering if diversification of risk can work here. If I put 3 pairs in the same time on 100K account 1 lot per pair. It should be the same risk as one pair with 3 lots but it is more spread… is there someone who used this strategy like that?