PLS see new signal: https://www.mql5.com/en/signals/229417 (The auto system with drawdown improved)
This is a Semi - Auto System based on Technical Analysis (supplied by Trading Central - a leading investment research provider to financial market professionals.) TF: H1 and M30.
Method: Trade follow trend, use grid but if trend changed, close with small loss or hedge (a part or whole) in order to decrease or to fix loss then trade follow the new trend, when profit can cover loss, close gradually or all.
Pairs: Any pairs have the clear trend but the popular pairs are EUR, GBP, JPY, CHF, AUD, NZD, CAD,
Risk Management: No typical SL. But I always monitor market. Managed by lotsize.
Target: Daily Profit , TP : Often 20 pips. Recommend balance: $1.5K . Max trades: 10 trades/pairs. Fixed lot: 0.01
From: 19/01/2017 , Fixed Lot: 0.1 ; Recommend ballance : $ 2k ; max trades:5/pairs (as often 1-2 trades) Try to keep as low drawdown as possible but high profit. Most of trades are traded by manual and closed by EA. High DD will never occur again. Try to lift ballance and always control my trades.
Q. Which broker will work with this system?
- Every broker will work with this system because It is not a scalper. I strongly recommend Tickmill, ECN Pro or VIP account
Q. How to subscribe this trading signal? Setting of signal subscription?
- Set % usage of deposit = 95%, slippage = 5 pips, stop if equity = 0, no need to copy S/L and T/P.
Q. Do you trade before Non Farm Payrolls or high impact news?
- No. If there are opening trades, monitor and exit or hegde if neccessary.
Further any information. Pls pm inbox.
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.
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 "Tickmill-Live" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.
|0.00 × 2|
|0.19 × 181|
|0.42 × 339|
|0.43 × 4713|
|0.44 × 189|
|0.48 × 75099|
|0.53 × 148|
|0.54 × 229|
|0.54 × 177|
|0.56 × 793|
|0.57 × 932|
|0.67 × 9|
|0.72 × 18|
|0.78 × 548|
|0.80 × 44|
|0.80 × 10|
|0.83 × 8837|
|0.83 × 60|
|0.89 × 414|
|0.94 × 3553|
|0.97 × 88|
|0.98 × 7383|
|0.98 × 2133|
|0.99 × 630|
|1.00 × 2|
From 25/01/2017: Price of subscribing is 30 USD.
I am sorry to close all trades with loss because I am afraid of non-farm this week and the election next week. Market will volatile. It is very dangerous for our accounts. I will trade again after the election.
Turn off PC and enjoy your vacation.
New settings for A1 Daily Profit
Maxtrades per day: 3
Recommended Ballance: $1500-$2000
Pairs: 8 pairs: XAUUSD,EU, GU, UJ,CHF,CAD,AUD, NZD
Target: Daily Profit Everage Profit around 15% a month.
Max DD: 30%
SHOULD USE CHEAP AND GOOD VPS TO RUN EA:
Pls keep equity/ballance50%. I hope Fed will increase rate and usd will be strong. I try to exit this negative status soon.
Before Brexit, Signal tries to close GBP and EUR and not open until market returns as normal.
From 14th June,2016, Subscribing price of "Daily Profit" is 20usd. If profit ratio of June is more than 20%, Price will be back 25usd from July 2016
From 13th June,2016, Subscribing price of "Daily Profit" is 25usd. If profit ratio of June is more than 20%, Price will be 30usd from July 2016
Added Stoploss for limited risk