Sergey Golubev
Moderator
119437
Sergey Golubev  

It is Fisher_exit indicator (author is Kalenzo).

I checked.

It works.

We may have more pips per one trade using this indicator.

Place two (attached) indicators in /indicator forder, compile both and atach to the chart Fisher_exit only.

Sergey Golubev
Moderator
119437
Sergey Golubev  

Updated statement.

Files:
increase
1199
increase  
newdigital:
It is Fisher_exit indicator (author is Kalenzo).

I checked.

It works.

We may have more pips per one trade using this indicator.

Place two (attached) indicators in /indicator forder, compile both and atach to the chart Fisher_exit only.

Wow, pretty good, thanks a lot

Sergey Golubev
Moderator
119437
Sergey Golubev  

I did it.

I doubled deposit in 8 trading days.

Starting deposit: 50,000.

Starting lot size: 1.

Timeframe: M1, ASCTrend system.

Finished with 100,000 deposit and 8 lot size.

In pips:

USDCHF:

Total pips: 256 pips.

Winning trades: 24 trades.

Losing trades: 2 trades.

Losing in pips: -4 pips.

GBPUSD:

Total pips: 243 pips.

Winning trades: 30 trades.

Losing trades: 0.

USDJPY:

Total pips: 95 pips.

Winning trades: 14 trades.

Losing trades: 0.

EURUSD:

Total pips: 238 pips.

Winning trades: 27 trades.

Losing trades: 3 trades.

Losing in pips: -13 pips.

Total in pips for all 4 pairs: 832 pips.

Trading days: 8.

I think we finished with M1 timeframe.

I may play more but no reason.

Will set up the chart for M15 or M30 timeframe from the next week.

Files:
rkanak
6
rkanak  
newdigital:
It is Fisher_exit indicator (author is Kalenzo).

I checked.

It works.

We may have more pips per one trade using this indicator.

Place two (attached) indicators in /indicator forder, compile both and atach to the chart Fisher_exit only.

does fisher_v1 redraws the past ?

VR_SYS
158
VR_SYS  

Well done mate - lots of potential here - thanks for sharing to wider community.

M1 ! - 8 contracts ( demo I know - I get the point ) sorry mate - I cannot even consider - can I think that fast at my age ? ....

I have had a look at manual trading over the last 3 days on 15m while trading catfx50. I am considering not even using the actual asctrend signal itself - just wait for confirmation from your other posted indicators. I use price envelopes or pivot for price targets - seems ok - early days yet - but very interested to see what develops with your expertise on the 15m and 30m time.

Thanks again for this Forum

Sergey Golubev
Moderator
119437
Sergey Golubev  
rkanak:
does fisher_v1 redraws the past ?

I checked Fisher_exit and it is ok.

I did not check Fisher_v1 (by Igorad) but I think it should be ok as well. Because this fisher_exit is based on fisher_v1.

kurt_issac
17
kurt_issac  
newdigital:
I did it.

I doubled deposit in 8 trading days.

Starting deposit: 50,000.

Starting lot size: 1.

Timeframe: M1, ASCTrend system.

Finished with 100,000 deposit and 8 lot size.

In pips:

USDCHF:

Total pips: 256 pips.

Winning trades: 24 trades.

Losing trades: 2 trades.

Losing in pips: -4 pips.

GBPUSD:

Total pips: 243 pips.

Winning trades: 30 trades.

Losing trades: 0.

USDJPY:

Total pips: 95 pips.

Winning trades: 14 trades.

Losing trades: 0.

EURUSD:

Total pips: 238 pips.

Winning trades: 27 trades.

Losing trades: 3 trades.

Losing in pips: -13 pips.

Total in pips for all 4 pairs: 832 pips.

Trading days: 8.

I think we finished with M1 timeframe.

I may play more but no reason.

Will set up the chart for M15 or M30 timeframe from the next week.

Marvelous, what timeframe you mainly using? And how did you set your S/L ? 3 loss trade but with few -13pips? Wow, and did you trade following the signal given by the system?

xerx3s
3
xerx3s  

NewDigital,

Your results are amazing. Would you mind making a post with all of the indicators that you are currently using attached to just one post?

I am quite new to MetaTrader and to the ASCTrend system too. I have read the whole thread but it is a bit confusing to know which files to download as there so many of them, many of which have the same name.

bmac
117
bmac  

NB,

could you please explain the last trades you did in cable today? some you open them around 13hrs and you closed them at 15hrs, how do you hold so much a trade? some of the trades do not agree with the par sar, but agrees with the rest, what is the biggest drawdown you are able to loose?