A combination of Fully Automated scripts with Risk Management and Profit (trailling stops) / Loss (integrated internal SL) strategy.

High Frequency trading - some orders can be closed in some seconds, others in days/months. If you are interested in the expert adviser, write me a PM.

The price for Signal is recovered by one day trading with the requirements bellow:

Minimum deposit:  7 000 $ 
Recommended deposit: 10 000 $
Expected profit: 5% to 10% per month
Trading pairs: All majors and cross pairs 

Broker slippage is not a problem for this signal, but if you choose some with tight spread would be nice for you!

Note: Draw-down is ongoing value in my strategy, its part of the game and is very dynamic (due to multiple experts logic). 

Update: Changing the priority and control of all the scripts - the DD of 60% would not appear again. Some improvements were made.

Wish you good profit and nice health! 

  • Growth
  • Equity
  • Balance
  • Risks
  • Distribution
  • Slippage
  • Reviews (2)
  • What's new
Trades: 31969
Profit Trades: 29128 (91.11%)
Loss Trades: 2841 (8.89%)
Best trade: 611.67 EUR
Worst trade: -383.31 EUR
Gross Profit: 43447.51 EUR (2210795 pips)
Gross Loss: -13719.88 EUR (807404 pips)
Maximum consecutive wins: 460 (205.24 EUR)
Maximal consecutive profit: 797.32 EUR (37)
Sharpe Ratio: 0.10
Trading activity: 100.00%
Max deposit load: 73.46%
Recovery Factor: 42.31
Long Trades: 14307 (44.75%)
Short Trades: 17662 (55.25%)
Profit Factor: 3.17
Expected Payoff: 0.93 EUR
Average Profit: 1.49 EUR
Average Loss: -4.83 EUR
Maximum consecutive losses: 17 (-1.90 EUR)
Maximal consecutive loss: -418.05 EUR (6)
Monthly growth: 0.20%
Annual Forecast: 2.43%
Best trade: 611.67 EUR
Maximum consecutive wins: 460 (205.24 EUR)
Maximal consecutive profit: 797.32 EUR (37)
Worst trade: -383.31 EUR
Maximum consecutive losses: 17 (-1.90 EUR)
Maximal consecutive loss: -418.05 EUR (6)
Drawdown by balance:
Absolute: 0.00 EUR
Maximal: 702.56 EUR (3.68%)
Relative drawdown:
By Balance: 5.90% (588.99 EUR)
By Equity: 60.58% (6305.57 EUR)

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.

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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.

Symbol Deals Sell Buy
EURUSDeur 6069
GBPUSDeur 5412
USDJPYeur 2690
AUDNZDeur 2475
EURGBPeur 2290
NZDUSDeur 1877
AUDUSDeur 1738
NZDCADeur 1632
USDCADeur 1622
AUDCADeur 1519
EURJPYeur 1329
GBPNZDeur 1013
GBPAUDeur 573
EURAUDeur 511
GER30-eur 208
GBPCADeur 194
CADJPYeur 169
EURNZDeur 163
GBPJPYeur 137
EURCADeur 85
AUDJPYeur 84
NZDJPYeur 64
EURCHFeur 43
USOIL-eur 32
USDCHFeur 32
GBPCHFeur 7
US30-eur 1
200040006000
200040006000
200040006000

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 "BenchMark-Real" and the subscriber's quotes, as well as on order execution delays. Lower values mean better quality of copying.

BenchMark-Real
0.44 × 87
ICMarkets-Live01
0.50 × 20
TradersWay-Live
0.86 × 29
RoboForex-ProCent
2.28 × 43
FXOpen-Real1
2.97 × 39
RoboForex-Pro
3.25 × 8
Alpari-Standard1
5.14 × 83
Alpari-Standard2
6.40 × 111
Swissquote-Live
6.65 × 101
FXChoice-Classic Live
6.77 × 22
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Average rating:
5hao
29
2017.04.11 18:31 
 

User didn't leave any comment to the rating

Luca Howard
717
2016.09.23 11:56   

Too much trades opened at the same time. Not safer

2017.05.18 21:27 2017.05.18 21:27:33 

What a crazy week!

2017.04.04 19:19 2017.04.04 19:19:16 

355% + and still growing slow and consistent.

2017.03.01 09:46 2017.03.01 09:46:16 

> 300% profit - constant delivery!

2016.12.08 08:06 2016.12.08 08:06:28 

We reached early in the month our 200% profit for an year! Keep growing!

2016.08.17 14:39 2016.08.17 14:39:10 

Only until end of year - promo subscription for 29$. Next year, again 59$

2016.08.17 14:39 2016.08.17 14:39:07 

July was very calm month and time to clean up. Small profit, going into August for next 5-10% profit

2016.07.14 16:31 2016.07.14 16:31:48 

Guys, I am waiting for next XXExit referendum. June was impressive and the DD was lowered / the profit increased. In summer i will trade with limiting resources, because of the low market liquidity in these months, but still we will get some profit until September...

Hope you survived and got a nice profit from Brexit turbulence!

2016.06.22 18:29 2016.06.22 18:29:02 

Waiting for the UK decision - all the positions in the account are correlativelly hedged. I assume that there will not happen BREXIT and BGP will rise up to 1.55

2016.06.03 17:10 2016.06.03 17:10:41 

DD decreased, no new risks till end of UK referendum. Trading continues

2016.06.01 21:52 2016.06.01 21:52:10 

Another crazy month for the signal! Great pick and drop of DD - and finally 20 % profit..

As i promised - the price is increased, in regards with the profit earned.

Stay healthy!

2016.05.10 21:13 2016.05.10 21:13:07 

100% profit for 6 months! Looking forward to have 200% till end of the year... possible!

Just to recommend - 10 000 $ to be on a safe side with my signal, but if you have another 10 k in 6 months it would be fine.

I am planning to increase the subscription price after reaching 200%

2016.05.04 06:03 2016.05.04 06:03:13 

April came with 15% profit.. nice? Working on stability. April was hard month, but already done reducing of DD. Next month it will be ~25-30%

2016.04.27 21:50 2016.04.27 21:50:23 

Again 10% in March! DD would be decreased in two months, but it is ongoing value in the strategy

2016.03.12 07:19 2016.03.12 07:19:25 

Feb closed with nice profit, nevertheless we hit big SL (5% from the balance) and increased DD to 41%. But... StopLoss is your friend! Always!

And finished with 17% monthly profit.

I am still working on lowering DD.

As you see, we turned back to the profitable lane very fast. I believe that for March we will have also at least 10% profit

2016.01.30 09:23 2016.01.30 09:23:11 

Increased DD this month came with 10% profit. As i said... Crazy market.

Unseen 13 days in a row USDCAD trend without any correction (the same GBPUSD) and more than 1000 pips fluent upside increased DD, but finally we got a nice profit. Next month it could be again ~ 10%, but the DD will be decreased.

Some new features and scripts will work in parallel in order to increase the profit.

As far as on the account work different EAs, DD is ongoing value and it will be part of the game!

Stay calm, we are going for profit next month. Next EA features will be available after couple of months!

Due to this turbulence i withdrown monthly planned profit and this increased in addition the DD. But this is planned and will continue monthly.

Apologizes for increased 37% DD and applause for 10% profit at the end in January!

2015.12.17 08:10 2015.12.17 08:10:02 

FOMC went fine today after decision of FED to increase the interests. 1% profit for just one day with still low DD

2015.12.04 17:53 2015.12.04 17:53:30 

NFP went just fine today. 1% profit for one day with still low DD

2015.12.03 19:33 2015.12.03 19:33:16 

So far, so good - 5% for Nov.

2015.12.01 18:31 2015.12.01 18:31:47 

The broker will increase temporary the margin level of some currencies form 1:200 to 1:100, like NZD, AUD, etc due to decreased liquidity last days on global forex market. This can increase the DD in some moments, not a problem at all. Stay calm and nice trading!

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