=rajasha= ras id 31160

 

Statistics (last calculation on 2010-05-10 07:00:01)

Start trading since 2010-04-30 15:44:42

Total # of weeks 1

This week pips 537

Total pips 537

Average pips per week 537

This week USD 4684.45

Total USD 4684.45

Average USD per week 4684.45

Signal Performance Factor (SPF) 0.00

Advanced Statistics (last calculation on 2010-05-10 20:10:54)

Max Lot size 2.15

Min Lot size 0.26

Max active trades 25

Min active trades 1

Summary P/L 5995.27

Number of winning trades 70 (8331.84)

Number of losing trades 14 (-2336.57)

Max summary P/L 6065.94

Largest losing trade -345.00 USD, -115 pips

Largest winning trade 860.72 USD, 268 pips

Max consecutive wins 23 (1517.70)

Max consecutive losses 5 (-1725.00)

Max consecutive profit 3740.06 (13)

Max consecutive loss -1725.00 (5)

Balance Max drawdown 1725.00

Profit factor 3.57

 

=rajasha= ras id : 31160

Rajasha Results statment :

hxxp://xxx.myfxbook.com/members/Prasono/arief-nugroho-prasono/28974]Arief Nugroho Prasono System | Myfxbook

Statistics (last calculation on 2010-05-11 07:00:01)

Start trading since 2010-04-30 15:44:42

Total # of weeks 2

This week pips 1990

Total pips 1455

Average pips per week 727

This week USD 9458.19

Total USD 7859.19

Average USD per week 3929.59

Signal Performance Factor (SPF) 0.03

Advanced Statistics (last calculation on 2010-05-11 22:40:43)

Max Lot size 2.15

Min Lot size 0.26

Max active trades 25

Min active trades 1

Summary P/L 10792.40

Number of winning trades 106 (13842.65)

Number of losing trades 24 (-3050.25)

Max summary P/L 10792.40

Largest losing trade -460.89 USD, -143 pips Details

Largest winning trade 860.72 USD, 268 pips Details

Max consecutive wins 23 (1517.70)

Max consecutive losses 5 (-1725.00)

Max consecutive profit 3740.06 (13)

Max consecutive loss -1725.00 (5)

Balance Max drawdown 1725.00

Profit factor 4.54

 
kendr423:
Rajasha Results statment :

hxxp://xxx.myfxbook.com/members/Prasono/arief-nugroho-prasono/28974]Arief Nugroho Prasono System | Myfxbook

Statistics (last calculation on 2010-05-11 07:00:01)

Start trading since 2010-04-30 15:44:42

Total # of weeks 2

This week pips 1990

Total pips 1455

Average pips per week 727

This week USD 9458.19

Total USD 7859.19

Average USD per week 3929.59

Signal Performance Factor (SPF) 0.03

Advanced Statistics (last calculation on 2010-05-11 22:40:43)

Max Lot size 2.15

Min Lot size 0.26

Max active trades 25

Min active trades 1

Summary P/L 10792.40

Number of winning trades 106 (13842.65)

Number of losing trades 24 (-3050.25)

Max summary P/L 10792.40

Largest losing trade -460.89 USD, -143 pips Details

Largest winning trade 860.72 USD, 268 pips Details

Max consecutive wins 23 (1517.70)

Max consecutive losses 5 (-1725.00)

Max consecutive profit 3740.06 (13)

Max consecutive loss -1725.00 (5)

Balance Max drawdown 1725.00

Profit factor 4.54

Hi,

Can you tell us what broker you use for your account in myfxbook, and at what spread is best to suit the system? and is it the same broker account you use then for your RAS ID because myfxbook is 5 digit broker and RAS is 4 digit.

I appreciate if you can help.

Also, really hope that you can explain more about your system, the trading style, the characteristics of trades etc in more details. Because this is by no mean a cheap subscription (over $200) so I think it is only logic and appropriate for your potential subscribers or current subscribers to know more on your trading system used in here.

Some questions that I myself will ask you is:

1) what lot size you trade, varying? and if it is varying, please tell us what will be your minimum lot and maximum lot used? (this is for use to manage our MM better)

2) What will be the average trade holding time?

3) How many positions you open at the same given time when other open positions still have not closed yet?

4) What can we expect in terms of drawdown?

5) Please recommend a suitable lot start for account balance from $1000, $2000, $3000 up to $25000 (this will then suit all areas of subscribers form low to medium to high risk takers)

6) Expected return as shown in your RAS is just incredible. This however raise a concern over the sustainability of your system. I look in the historic trades it only started like end of April so meaning it is only max 2 weeks of trades? What do you have to say over the long term success of your system and how will your system adapt to daily market conditions? I mean what will you do if you see losses started to occurs?

7) Lastly I appreciate if you can tell us more on your trading style and strategies involved. Not have to be in precise because that is your secret weapon so it is not a good idea to let out those secret formulas, what I mean is in a more general term of your trading style, is it based on fundamentals, technical indicators, or purely price actions? and is this a manually traded system or ea traded system or both or others, please explain more on this.

I along with my other traders who are actively involved in signals service from RAS on a weekly to monthly basis, we are always analyzing to use the best and long term sustainable trading signals, and what we want and emphasis on are long term sustainable system, not system that will be doing really good this month and blow everything the next month. I hope you understand our concern and needs and we are going to subscribe for a long time to come it your system is what we want we all will subscribe to your system.

Thank you for taking time to explain in more details about your RAS system and also to answer my questions.

Regards,

amsads

 

=Rajasha=

Hi Amsads,

Thank you for reply and I will try answer your question.

Can you tell us what broker you use for your account in myfxbook, and at what spread is best to suit the system? and is it the same broker account you use then for your RAS ID because myfxbook is 5 digit broker and RAS is 4 digit.

I use SIG Lite Broker in myfxbook and the spread best max for the pairs I trades :

EURUSD = 1-2 pips

GBPUSD = 2-3 pips

EURJPY = 3-4 pips

EURCHF = 3-4 pips

hxxps://xxx.myfxbook.com/portfolio/arief-nugroho-prasono/28974

I appreciate if you can help.

Also, really hope that you can explain more about your system, the trading style, the characteristics of trades etc in more details. Because this is by no mean a cheap subscription (over $200) so I think it is only logic and appropriate for your potential subscribers or current subscribers to know more on your trading system used in here.

Iuse BreakOut System for EURUSD, GBPUSD & EURJPY and

Price action System for EURCHF.

System have Multy Target and StopLoss level

Some questions that I myself will ask you is:

1) what lot size you trade, varying? and if it is varying, please tell us what will be your minimum lot and maximum lot used? (this is for use to manage our MM better)

System have Money Management Risk level

We can adjust base of Monthly Target or Risk DD we want to reach

My set now to reach target 50 - 200% profit with Max DD 50% monthly

With 1K Account Balance Lot Size start with 0.03 Lots

With 10K Account Balance Lot Size start with 0.3 lots

We can lower/higher the level

2) What will be the average trade holding time?

It's depent the price action could be 30 mnt - 3 hours

till system closed or hit sl/tp

3) How many positions you open at the same given time when other open positions still have not closed yet?

max can open 15 - 25 position

4) What can we expect in terms of drawdown?

5 - 50% DD set base on your risk level & reward

5) Please recommend a suitable lot start for account balance from $1000, $2000, $3000 up to $25000 (this will then suit all areas of subscribers form low to medium to high risk takers)

Balance Account $1K Lot Size start with 0.01- 0.03

Balance Account $10K Lot Size start with 0,1 - 0,3

6) Expected return as shown in your RAS is just incredible. This however raise a concern over the sustainability of your system. I look in the historic trades it only started like end of April so meaning it is only max 2 weeks of trades? What do you have to say over the long term success of your system and how will your system adapt to daily market conditions? I mean what will you do if you see losses started to occurs?

The idea for the system is to get Profit and double you Balance as fast you can and

becouse when you get double we can withdraw the Capital and just Play with the profit balance.

Some of the system with EURCHF is already trade since 1 years with good track record.

hxxp://xxx.myfxbook.com/members/Prasono/arief/19992

System with EURUSD, GBPUSD & EURJPY is one of system have Join

The Forex Robot World Cup 2009 with name "Phoneix that

only 24 ea's Pass trading from 300 ea's submit

hxxp://xxx.forex-robot-world-cup.com/results.php

btw I'm not win the competion only trades 2 month"

7) Lastly I appreciate if you can tell us more on your trading style and strategies involved. Not have to be in precise because that is your secret weapon so it is not a good idea to let out those secret formulas, what I mean is in a more general term of your trading style, is it based on fundamentals, technical indicators, or purely price actions? and is this a manually traded system or ea traded system or both or others, please explain more on this.

System Base on technical incator & Price action and trade Both Manual

EA's with 90% EA's + 10% Manual

I along with my other traders who are actively involved in signals service from RAS on a weekly to monthly basis, we are always analyzing to use the best and long term sustainable trading signals, and what we want and emphasis on are long term sustainable system, not system that will be doing really good this month and blow everything the next month. I hope you understand our concern and needs and we are going to subscribe for a long time to come it your system is what we want we all will subscribe to your system.

yes I try hard to make this system works good in short time also Long time and really understand your concern.

Thank you for your time & attention

Kendr423

 

=rajasha=

Statistics (last calculation on 2010-05-13 07:00:01)

Start trading since 2010-04-30 15:44:42

Total # of weeks 2

This week pips 1803

Total pips 2012

Average pips per week 1006

This week USD 7471.25

Total USD 9390.33

Average USD per week 4695.16

Signal Performance Factor (SPF) 0.04

Advanced Statistics (last calculation on 2010-05-13 23:41:02)

Max Lot size 2.15

Min Lot size 0.26

Max active trades 41

Min active trades 1

Summary P/L 16017.27

Number of winning trades 191 (23916.98)

Number of losing trades 49 (-7899.71)

Max summary P/L 16017.27

Largest losing trade -460.89 USD, -143 pips Details

Largest winning trade 860.72 USD, 268 pips Details

Max consecutive wins 25 (4006.89)

Max consecutive losses 6 (-1627.50)

Max consecutive profit 4006.89 (25)

Max consecutive loss -1725.00 (5)

Balance Max drawdown 3291.25

Profit factor 3.03

Strategy Plan base of short backtest in the attach a file

 

Hi Kendr423,

I have looked at your performance since the end of April and I have to say it looks very impressive. This brings up a question regarding your lot size and the leverage used at RAS. According to the records shown, you started up with a $1000 deposit and yet you managed to lose $345 on five individual trades on April 30th for a grand total of $1735. In my book, that means your account should have been wiped out before you even got off the ground.

I see that most of your following trades where profitable so you must be doing something right but can you please shed some light on your starting transactions.

Thanks -

 

=rajasha=

Hello Erikhansen,

My account trading start with 11.197 Sig Lite 4 Digit Broker and so far I made double my account also withdraw the profit 10.197

This week I'll start sent signal =RAJASHA 5D= for 5 Digit Broker

For starting transaction you can see Myfxbook and my statment in the attach a file.

hxxps://xxx.myfxbook.com/portfolio/arief-nugroho-prasono/28974

Files:
sig.htm  339 kb
sig.gif  7 kb
 

=rajasha=

http://www.fxblue.com/users/arief

Thanks for Buyer Using My Signal !

 

=rajasha=

http://www.rentasignal.com/signal/view/31160

Arief Nugroho Prasono System | Myfxbook

http://www.fxblue.com/users/rajasha

Statistics (last calculation on 2010-06-04 07:00:01)

Start trading since 2010-04-30 15:44:42

Total # of weeks 5

This week pips -231

Total pips 4447

Average pips per week 889

This week USD -1169.35

Total USD 16674.74

Average USD per week 3334.94

Signal Performance Factor (SPF) 0.08

Advanced Statistics (last calculation on 2010-06-05 02:16:21)

Max Lot size 2.15

Min Lot size 0.26

Max active trades 41

Min active trades 1

Summary P/L 18324.29

Number of winning trades 356 (37263.44)

Number of losing trades 84 (-18939.15)

Max summary P/L 20104.49

Largest losing trade -460.89 USD, -143 pips Details

Largest winning trade 860.72 USD, 268 pips Details

Max consecutive wins 73 (5919.23)

Max consecutive losses 10 (-3566.64)

Max consecutive profit 5919.23 (73)

Max consecutive loss -3566.64 (10)

Balance Max drawdown 6255.55

Profit factor 1.97

Reason: