Blackwave Pacific
Reliability
306 weeks (since 2015)
155
4.3M USD
To see trades in realtime, please log in or register

Balance

Equity

Drawdown

  • Equity
  • Drawdown
Trades:
2 209
Profit Trades:
1 725 (78.08%)
Loss Trades:
484 (21.91%)
Best trade:
9 834.65 USD
Worst trade:
-3 451.20 USD
Gross Profit:
457 155.13 USD (1 257 548 pips)
Gross Loss:
-112 514.71 USD (293 893 pips)
Maximum consecutive wins:
34 (325.50 USD)
Maximal consecutive profit:
31 728.74 USD (10)
Sharpe Ratio:
0.35
Trading activity:
92.71%
Max deposit load:
6.30%
Latest trade:
12 hours ago
Trades per week:
13
Avg holding time:
8 days
Recovery Factor:
31.01
Long Trades:
1 443 (65.32%)
Short Trades:
766 (34.68%)
Profit Factor:
4.06
Expected Payoff:
156.02 USD
Average Profit:
265.02 USD
Average Loss:
-232.47 USD
Maximum consecutive losses:
15 (-1 637.83 USD)
Maximal consecutive loss:
-11 115.55 USD (6)
Monthly growth:
2.57%
Annual Forecast:
31.20%
Algo trading:
40%

Distribution

Symbol Deals Sell Buy
AUDUSD 632
NZDJPY 319
USDCAD 173
EURGBP 157
USDCHF 96
EURUSD 92
EURCHF 91
GBPUSD 84
AUDNZD 82
GBPNZD 70
GBPCHF 63
USDJPY 52
NZDUSD 46
CADJPY 40
EURAUD 39
CHFJPY 36
EURCAD 30
USDZAR 29
AUDCAD 20
AUDCHF 19
CADCHF 12
NZDCHF 10
XAUUSD 6
GBPAUD 3
GBPJPY 3
AUDJPY 3
GBPCAD 1
EURNZD 1
200 400 600
200 400 600
200 400 600
Symbol Gross Profit, USD Loss, USD Profit, USD
AUDUSD 15K
NZDJPY 11K
USDCAD 31K
EURGBP 46K
USDCHF 16K
EURUSD 16K
EURCHF 21K
GBPUSD 24K
AUDNZD 14K
GBPNZD 36K
GBPCHF 23K
USDJPY 15K
NZDUSD 7.3K
CADJPY 18K
EURAUD 5.8K
CHFJPY 8.7K
EURCAD 7.1K
USDZAR 3.1K
AUDCAD 5.9K
AUDCHF 7.1K
CADCHF 2K
NZDCHF 2.1K
XAUUSD 6.3K
GBPAUD 1.4K
GBPJPY 1.3K
AUDJPY 520
GBPCAD 537
EURNZD 343
20K 40K 60K
20K 40K 60K
20K 40K 60K
Symbol Gross Profit, pips Loss, pips Profit, pips
AUDUSD 176K
NZDJPY 87K
USDCAD 55K
EURGBP 38K
USDCHF 19K
EURUSD 21K
EURCHF 29K
GBPUSD 23K
AUDNZD 27K
GBPNZD 38K
GBPCHF 21K
USDJPY 21K
NZDUSD 12K
CADJPY 9.9K
EURAUD 10K
CHFJPY 8.5K
EURCAD 16K
USDZAR 352K
AUDCAD 6.1K
AUDCHF 5.2K
CADCHF 4.9K
NZDCHF 1.8K
XAUUSD 16K
GBPAUD 1.7K
GBPJPY 990
AUDJPY 514
GBPCAD 508
EURNZD 340
100K 200K 300K 400K 500K
100K 200K 300K 400K 500K
100K 200K 300K 400K 500K

Drawdown

Best trade:
9 834.65 USD
Maximum consecutive wins:
34 (325.50 USD)
Maximal consecutive profit:
31 728.74 USD (10)
Worst trade:
-3 451.20 USD
Maximum consecutive losses:
15 (-1 637.83 USD)
Maximal consecutive loss:
-11 115.55 USD (6)
Drawdown by balance:
Absolute:
0.00 USD
Maximal:
11 115.55 USD (4.27%)
Relative drawdown:
By Balance:
26.78% (1 637.83 USD)
By Equity:
47.74% (26 327.50 USD)

MFE and MAE Distribution Point Graphs

Maximum profit (MFE) and maximum loss (MAE) values are recorded for each open order during its lifetime. These parameters additionally characterize each closed order using the values of the maximum unrealized potential and maximum permitted risk. MFE/Profit and MAE/Profit distribution graphs display each order as a point with received profit/loss value plotted along the X-axis, while maximum displayed values of potential profit (MFE) and potential loss (MAE) are plotted along the Y-axis.

No data
No data

Place your cursor over parameters/graph captions to see the best and worst trading series. Find out more about MAE and MFE distributions in the article Mathematics in Trading: How to Estimate Trade Results.

The average slippage based on execution statistics on real accounts of various brokers is specified in pips. It depends on the difference between the provider's quotes from "ICMarkets-Live03" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

GO4X-Live
0.00 × 1
FXGiantsBM-Real10
0.00 × 4
AFXCapital-Real
0.00 × 1
TradeWise-LiveUS
0.00 × 1
TopFXSC-Live Server
0.00 × 2
VantageFX-Demo
0.00 × 1
CalibrateManagement-Live
0.00 × 2
GAFXTrading-Live
0.00 × 1
YuloTrading-Live
0.00 × 1
EGlobal-Classic2
0.00 × 2
XM.COM-Real 19
0.00 × 1
ATCBrokers-US Live
0.00 × 4
CapitalCityMarkets-Live
0.00 × 1
TegasFX-Live-UK
0.00 × 42
StreamForex-Real
0.00 × 1
PHP-LiveLiquidity1
0.00 × 1
PFD-Real
0.00 × 1
Trade12-Primary
0.10 × 21
FXGiantsUK-Real4
0.15 × 89
ZeroMarkets-Live
0.23 × 35
DooPrime-Live 2
0.27 × 11
MEXExchange-Live
0.29 × 14
RoboForexDE-Pro
0.30 × 50
Quantix-Live2
0.30 × 102
UniverseWheel-Live
0.41 × 249
760 more...
To see trades in realtime, please log in or register

Strategy



TWITTER: @BlackwaveFX

Blackwave Strategy - Basics


The strategy is a manual grid strategy and not an EA. While it has traded exotic and EM pairs profitably in the past it only trades major and minor forex pairs now to reduce
the cost of SWAPS and the inherent political/geographic/economic uncertainty around many exotic/EM pairs. When markets are overbought or close to overbought trades are opened
counter-trend. When profit targets are hit trades are closed. If the market continues to move against the initial position then a second trade is opened based on candlestick
price action and how the market is trading/pending news etc. Up to 12 positions maybe opened.

When markets are oversold or close to oversold trades are opened counter-trend. When profit targets are hit trades are closed. If the market continues to move against the
initial position then a second trade is opened based on candlestick price action and how the market is trading/pending news etc. Up to 12 positions may be opened.

Risk control is achieved through position sizing. Position sizing MUST be the most important feature of the strategy because there is no hard stop loss and no hedging.
People will often happily accept extrordingary profits and only query the strategy when they experience a stressful drawdown in their own account even while the master account
remains quite safe. This is because they have failed to understand how crutial position sizing is for the strategy.

While there is no hard stop loss there is a soft one which is market dependent and as follows;

Blackwave California - Approx 15%
Blackwave Pacific - Approx 35%
Blackwave Alpine - Approx 50%


This strategy has produced excellent profits since 2015 and is now one of the oldest strategies on most copy trading platforms. It is the inspiration for three MAM accounts
managing $2m of other peoples money. I never place trades in client accounts that I do not wish to place in my own accounts too and as at June 2019 my own commitment to this
strategy across all three risk levels is $190k.

These are the basics. To give any more information would be to reduce my flexibility and take away the major advantage of a manual strategy and make it effectively automated.
As a former stockbroker I like to watch all markets at once and get a sense of what's going on rather than put blind faith in back-testing which in the end only tests the past.
Links below to Blackwave Money Accounts which demonstrates my personal commitment to this strategy.







Average rating:
Rodrigo Demagalhaes
193
Rodrigo Demagalhaes 2021.06.11 17:54 
 

User didn't leave any comment to the rating

46167986
49
46167986 2021.06.11 15:47 
 

User didn't leave any comment to the rating

Moon
346
Moon 2021.05.19 22:10 
 

User didn't leave any comment to the rating

Berth Gosta Ingvar Sjoberg
135
Berth Gosta Ingvar Sjoberg 2021.05.17 14:28 
 

User didn't leave any comment to the rating

SALEHM
245
SALEHM 2021.04.01 08:37   

You can follow Mr. Gary

On his account on Twitter, he explains everything

I wish everyone a happy day.

Aleksandr Stepanov
535
Aleksandr Stepanov 2021.03.31 17:03  (modified 2021.03.31 17:12)   

Dude, r u doing it on purpose or what? At least explain to your loyal subscribers what the hell is going on and what r u gonna do in this situation?

Peter Huszka
76
Peter Huszka 2021.03.29 18:57 
 

User didn't leave any comment to the rating

Victor Alfonso Ramirez Tobon
364
Victor Alfonso Ramirez Tobon 2021.03.29 13:20   

Antes mi comentario fue un análisis certero, educado y positivo de esta señal, pero recibí mensajes directos sobre esto, pero ahora entre MQL5 y el señor Gary estoy perdiendo miles de dólares voy a dar un comentario sincero, es el peor sistema de copiado, en dos sincronizaciones por cambios de balances del proveedor de señales ajusta mis lotes, Gary subió su balance y mi cuenta se auto-ajustó, ha cerrado lotes parciales de las posiciones EURGBP perdí en total solo por eso casi -4K y tengo un flotante de -8.7k, esto es ridículo. (estoy pagando dinero para perder dinero, me siento un imbécil)

Voy a decir lo que muchos no se atreven a decir, porque les lleman "haters" La estrategia de Gary sinceramente ya no sirve. No la veo eficaz, su historial le respalda, pero ya es pasado. Otra vez estamos en posición de cruzar dedos sin conocer nuestros Stops Loss. Recuerdo GBPNZD y EURCHF donde tuvimos esta misma experiencia de casi tres meses esperando milagros. ¡No voy más con esto! Los sistemas de grilla en cualquier momento colapsan y más ahora con los movimientos de monedas tan extensos (Hay que entender la situación actual de la recuperación de economía durante pandemia, muchos paises, zonas afectadas y monedas fuertes cayendo) operar en un par sobre-comprado o sobre-vendido, no significa que puedan marcarse nuevos máximos y nuevos mínimos.

Gary habla del control de tamaño, pero su Drawdown crece cada semana. Creo que si abro una cuenta y hago lo contrario obtendría 10 veces más dinero. Lo siento si sueno como un "hater" pero ya estoy cansado de perder dinero con MQL5 y Gary con sus apuestas. MQL5 con su sistema de copy arcaico, y con el proveedor de señal ahora, solo pienso en poner mi stop y rezar para que no lo toque y como veo el gráfico de EURGBP seguirá bajando bastante por lo menos al próximo mínimo son casi 300 pips a 0.8300 ya lo hizo en el pasado, probablemente lo vuelva a hacer, con el tamaño actual de lotes es agregar un -20% más al drawdown y si lo vemos desde otra perspectiva USDJPY también está en una muy mala posición. ¿Por qué no esperó a salir de su problema de EURGBP antes de tomar más posiciones con UJ? Gary no está tomando decisiones acertadas este año por subir el riesgo y carrera rápida de su meta personal y T-Minus.

P24
81
P24 2021.03.29 10:56   

Two months of following and paying subscription, two margin calls! Although I understand that financial markets have an inherent risk, and losing money is part of the game, having a strategy with stop loss is a good idea. Opening a EURGBP buy position on 09/02 @0.87887 and keeping it open until 29/03 @0.85110, indicates a "fingers crossed" strategy rather than a well planned strategy. My intention is not to "damage" Mr. Comey's rumor, his results and popularity speak for it, but to leave my feedback as food for thought.

Lay Yuddi Layman
326
Lay Yuddi Layman 2021.03.29 08:24  (modified 2021.03.29 08:25)   

Hi Gary, i have open orders following your signal. My open orders size are being adjusted because you add fund to your account. Please dont add fund to your account. Subcriber order size will be adjusted automatically.

Nikolay_sol Novik
13
Nikolay_sol Novik 2021.03.28 18:33   

Больше нет смысла подписки, чтобы сидеть и отрывать убыточные сделки. Так я и бесплатно могу

holistic
43
holistic 2021.03.19 12:49  (modified 2021.03.19 15:35)   

The trader has a lot of experience in the market and has been profitable for a long time. So there is nothing bad to be said here about his performance and trading, he is doing a good job with the strategy he is using. However, for me personally, the grid system strategy he is using isn't for me. It leads to a lot of open positions in high drawdown against the trend and fundamentals. Then there is no margin left to open other trades and the trades are stuck for weeks or months, reducing profits waiting for a trend reversal. Of course, the trader earns monthly subscriptions and therefore has fewer worries than someone who is hoping for a profit. You can consider this more of a passive investment which you "set and forget" and are willing to accept a high drawdown. Another problem is, that the trader has a high account balance, so you need at least 2000 $ to follow him correctly with the same risk profile. But then you are stuck at the minimum lot size of 0.01 and therefore the profit does not scale up, because a lot more capital is needed in order to have a synchronized increase in lot size with the trader. So the returns you see depend on your account size. With 0.01 lots and 2000 $, you make around 100$ a month. And if you have 3000 $ invested you still make 100 $ since the lot sizes do not increase. That is just something to consider.

Sergio68
31
Sergio68 2021.03.16 06:44   

Подписался, получил просадку. Месяц прошел, подписка кончилась - просадка осталась. Результат в убытке...

originonline
400
originonline 2021.03.15 16:09  (modified 2021.03.15 16:54)   

Not worth the hassle.

Laptey
21
Laptey 2021.03.12 09:50 
 

Очень рискованно.

Tony Linardo
131
Tony Linardo 2021.03.10 08:12  (modified 2021.03.10 08:12)   

after a month of subscription , i just realized that firstly mql5 is giving false statistic of this account to lure us to the subscription ( $500 profit of $200k account is 2% ? really ??? ) . secondly the trader himself seems to dont understand any markets in any conditions at all. in super strong trends then he always goes with counter trends that lead us to more than 30% DD over a month with actually he hopes the prices reverse back (which the prices don't) and that's not how a real good trader would do. 5 years of surviving is pure luck (risking 50%-70% just to get 3-5% a month which the DD still exists all the time). his main income is not from trading, but from our subscriptions. WARNING WARNING WARNING . do not get lured.

cbsezgin
293
cbsezgin 2021.03.09 22:03 
 

User didn't leave any comment to the rating

De Ping Hu
400
De Ping Hu 2021.03.08 15:07   

Broken signal

Chi Hanglee
629
Chi Hanglee 2021.03.03 12:55 
 

User didn't leave any comment to the rating

waryaa
183
waryaa 2021.03.03 01:23 
 

User didn't leave any comment to the rating

2021.06.17 10:11
Removed warning: Low trading activity - not enough trades detected during the last month
2021.06.16 21:18
Removed warning: No trading activity detected on the Signal's account for the recent period
2021.06.11 17:23
Removed warning: Low trading activity - not enough trades detected during the last month
2021.05.18 16:23
No trading activity detected on the Signal's account for the last 6 days
2021.04.23 14:36
Removed warning: Low trading activity - not enough trades detected during the last month
2021.04.23 14:36
Removed warning: No trading activity detected on the Signal's account for the recent period
2021.04.06 16:11
Removed warning: High current drawdown indicates the absence of risk limitation
2021.03.30 05:04
High current drawdown in 31% indicates the absence of risk limitation
2021.03.29 17:14
Removed warning: High current drawdown indicates the absence of risk limitation
2021.03.29 10:54
High current drawdown in 32% indicates the absence of risk limitation
2021.03.26 20:44
Removed warning: High current drawdown indicates the absence of risk limitation
2021.03.26 18:58
High current drawdown in 30% indicates the absence of risk limitation
2021.03.26 16:53
Removed warning: High current drawdown indicates the absence of risk limitation
2021.03.26 16:53
Removed warning: No trading activity detected on the Signal's account for the recent period
2021.03.22 13:59
No trading activity detected on the Signal's account for the last 6 days
2021.02.24 10:54
Removed warning: High current drawdown indicates the absence of risk limitation
2021.02.24 03:17
High current drawdown in 30% indicates the absence of risk limitation
2020.08.11 09:34
Removed warning: No trading activity detected on the Signal's account for the recent period
2020.08.06 19:50
No trading activity detected on the Signal's account for the last 6 days
2020.07.31 18:05
Removed warning: Low trading activity - not enough trades detected during the last month
To see trades in realtime, please log in or register
Signal
Price
Growth
Subscribers
Funds
Balance
Weeks
Expert Advisors
Trades
Win %
Activity
PF
Expected Payoff
Drawdown
Leverage
39 USD per month
6 429%
155
4.3M
USD
215K
USD
306
40%
2 209
78%
93%
4.06
156.02
USD
48%
1:500
Copy