Highly profitable signal

The principles of trade:
  • Trade is conducted by night advisor
  • Neither transaction can not be opened without Stop Loss
  • Without averages and other aggressive methods

Trade strategy description

I open position in the end of American session and in the beginning of Asian session. I use period of low volatility for small and stable targets of profit with low risks. Stop orders are putting immediately after the position openning. Sizes of stop losses were carefully calibrated for each currency pair. The possition's size could be changed depending on day of week and actual profitability of each pair. The minimum effeciency will be achieved starting from 1 month of active trading.

Also, I advise you to pay your attention to other signals with varying degrees of risk and monthly income:

Conservative - https://www.mql5.com/ru/signals/216531
Balanced - https://www.mql5.com/ru/signals/249420
Aggressive - https://www.mql5.com/ru/signals/192749
Low-loss - https://www.mql5.com/ru/signals/264938
Safety - https://www.mql5.com/ru/signals/264934

Dear Colleagues, I will be very happy and grateful to get your reviews and comments! It is very important to know your opinion. Thank you in advance!

About me:

I have more than 18 years of trading experience. Except of forex trading also I worked with vanil options. When I traded in divergences I had got 60-80% profit each year. Constantly I'm searching a new currency pairs that will be useful for my method of trading. I put currency pairs to demo-account only after their showing of good results (4-6 pips of expected value) in tester. I started to use pair in real account only after, at least, three months of successful trading (at least 3-4 pips of expected value). In the same time I don't stop to monitor the price movement of well-recommended currency pairs. Based on the results I change algorithm, time of trading and if it's necessary I change position size or even I can take of the pair from active trade. In that moment I successfully drive a trade in six accounts.

Best regards Valery
  • Growth
  • Equity
  • Balance
  • Risks
  • Distribution
  • Slippage
  • Reviews
  • What's new
Trades: 472
Profit Trades: 347 (73.51%)
Loss Trades: 125 (26.48%)
Best trade: 33.19 USD
Worst trade: -89.88 USD
Gross Profit: 2091.92 USD (29401 pips)
Gross Loss: -1289.33 USD (17711 pips)
Maximum consecutive wins: 14 (154.21 USD)
Maximal consecutive profit: 154.21 USD (14)
Sharpe Ratio: 0.19
Trading activity: 13.90%
Max deposit load: 26.19%
Recovery Factor: 4.37
Long Trades: 245 (51.91%)
Short Trades: 227 (48.09%)
Profit Factor: 1.62
Expected Payoff: 1.70 USD
Average Profit: 6.03 USD
Average Loss: -10.31 USD
Maximum consecutive losses: 7 (-68.33 USD)
Maximal consecutive loss: -152.75 USD (3)
Monthly growth: -1.87%
Annual Forecast: -22.68%
Best trade: 33.19 USD
Maximum consecutive wins: 14 (154.21 USD)
Maximal consecutive profit: 154.21 USD (14)
Worst trade: -89.88 USD
Maximum consecutive losses: 7 (-68.33 USD)
Maximal consecutive loss: -152.75 USD (3)
Drawdown by balance:
Absolute: 0.00 USD
Maximal: 183.80 USD (17.83%)
Relative drawdown:
By Balance: 17.52% (26.04 USD)
By Equity: 22.55% (27.64 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.

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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

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

0.38 × 16
0.95 × 264
1.16 × 31
1.20 × 10
1.63 × 142
1.75 × 16
2.50 × 361
2.68 × 160
4.96 × 24
XM.COM-Real 6
9.50 × 12
14.46 × 13
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No reviews
2017.03.17 13:14 2017.03.17 13:14:23 

Дорогие друзья,

Хотелось бы объяснить, что произошло вчера.

Как Вам всем известно моя стратегия построена на тихих и спокойных азиатских сессиях, впрочем, какими они в большинстве своем и являются, и когда происходят какие-то резкие движения - мы проигрываем.

Что и произошло вчера.. После очередного пафосного выступления Трампа (Боже храни Трампа), в котором он призвал к более справедливому торговому сотрудничеству с Европой, вчера Эвальд Новотны, член ЕЦБ, подтвердил его слова и рынок сошел с ума. Его речь привела к переоценке стоимости евро и показало некое преимущество Европы над США.

Хочу вам сказать, что я обдумываю вариант остановки торговли перед выступлениями Трампа - мне было бы интересно узнать, что вы думаете на этот счет?

Также важно для меня отметить, что я ни в коем случае не обманываю вас, как некоторые другие трейдеры. Если мы несем потери, мы несем их вместе. Вы можете посмотреть на размер моих собственных вложений в каждый сигнал. Я не из тех кто кидает гроши на счет, а зарабатывает с подписчиков.

Так что я полностью разделяю Вашу боль. Но хочу вам сказать, что я как никогда спокоен и уверен в своих силах. За 18 лет активной работы на рынке Форексе я видел гораздо более страшные вещи.

Огромное человеческое спасибо я хочу сказать людям, которые мне сейчас в личку пишут слова поддержки. Ваша вера в меня - окрыляет!

Если бы я был не трейдером, а инвестором, то я бы именно в такие моменты деньги и вкладывал, так как теперь дорога только вверх!

Я спокоен, собран и сейчас работаю с тройным усилием!

Хорошей нам всем торговли!


Dear friends,

I just wanted to explain what happened yesterday.

As you all know, my strategy is based on calm and stable asian session, however what they really are in most of the time, and in time of big price movements we are losing. What actually happened yesterday.

After the regular pathos Trump's speech (God save Trump), in which he called for more equitable trade cooperation with Europe, yesterday Ewald Nowothny, ECB member, confirmed his speech and the market went crazy. His speech led to reassessment of the euro cost and showed certain advantage of Europe under the USA.

I want to tell you that I'm thinking about option of stopping trading before any Trump's speech - tell me what are you thinking about it?

Also it's very important for me to sign that I'm not cheating you, like other traders do. If we are losing money, we losing together. You can take a look at the size of my own deposits in each signal. I'm not the one of those which puts dime to their accounts and makes money from their subscribers.

So I completely share your pain! But I need to tell that I'm calm and steady like anytime before. For 18 years of active trade I've seen much more horrible things.

Huge thanks I wanted to tell to people that are writting me private messages with their support. Your faith in me inspires!

If I wasn't a trader, but investor I would invest exactly at such moments, 'cause now the only way is up!

I'm calm, steady and now I work with triple effort.

Good trade for all of us!

2017.03.11 18:29 2017.03.11 18:29:58 

Добрый вечер, дорогие подписчики.

Радостно могу вам сообщить, что на этой неделе все сигналы закрылись с прибылью.

Кто-то больше заработал, кто-то меньше (у каждого сигнала свои риски), но выросли все.

После не самой удачной первой недели месяца, второй мы практически компенсировали потерянные позиции.

Спасибо тем, кто остался со мной несмотря на серьезную просадку счета. Я остаюсь верен своей стратегии (которая

оттачивалась в течении продолжительного времени) так как ничего принципиально нового не произошло, а безубыточных стратегий, как известно

не бывает!

Итак, собственно результаты:

Консервативный +45.44$ +3.59%

Высокоприбыльный +62.87 +5.84%

Низкоубыточный +26.88 +4.28%

Сбалансированный +43.46 +4.86%

Безопасный +175.49 +9.91%


Good evening, dear subscribers!

I glad to announce you that this week all signals were closed with profit.

Some signals earned more, others earned less (each signal has it owns risks), but they all signals have risen.

After the unsuccessful first week of the month, we almost turned back all losses in the second week. Thank you for those who has stayed with me despite a little drawdown of the account. I still believe and follow to my strategy (that was tested during a long time) as didn’t happen anything new and unexpected, but break-even strategies, as is known does not happen.

So, actually, our results:

Conservative +45.44$ +3.59%

High-profitable +62.87 +5.84%

Low-loss +26.88 +4.28%

Balanced +43.46 +4.86%

Safety +175.49 +9.91%

2017.03.01 09:22 2017.03.01 09:22:55 

Good morning, my dear subscribers!

To prevent a lot of questions I want to tell you what did happen last night.

As we all know stop loss was taken last night because of Trump's speech in senate.

First of all I would like to tell you that exactly for these reasons I always put SL to minimaze

risks of huge losses.

Second of all it happens very rarely (I mean situations when Stop Loss is taken), so farther

it will be better.

And finally I want to tell that I'm not stopping to monitor the markets, so if something changing

I always make adjustments.

Big thanks for you trust and your patience!


Доброе утро, мои дорогие подписчики!

Чтобы предотвратить поток вопросов я хочу вам рассказать, что случилось прошлой ночью.

Как известно, прошлой ночью, было взятие Стоп Лосса, которое было спровоцировано речью Трампа в Сенате.

Прежде всего хотелось бы заметить, что именно для таких случаев я все позиции открываю со стоп лоссом,

чтобы предотвратить большие потери.

Также я могу сказать, что такие ситуации (взятие стоп лосса) происходят крайне редко, так что дальше

торговля будет идти лучше.

И под конец я не устану повторять, что мониторинг рынка происходит каждый день, поэтому если происходят

какие-то изменения на рынке я всегда вношу коррективы.

Большое спасибо за ваше доверие и ваше спокойствие!

2017.02.26 20:39 2017.02.26 20:39:48 

Hi, friends!

Last week was much better than before and we earned 74.4$

that is 6.92% of account's growth.

Our signal became one of the most profitable for February from

all TOP-10 trading accounts in MQL!

If you have any questions I'm all yours!

2017.02.21 07:24 2017.02.21 07:24:44 

My dear subscriber!

Last week we earned with you 18.29$ and

we grew up our amount on 1.73%.

It's not so much, but if we count those week like a lost one,

so it's not so bad!)

Thank you!

2017.02.12 19:41 2017.02.12 19:41:49 

Dear Colleagues, I want to sum up the results of the last week trade.

Using this signal we got:

Total profit for week - 67.1$

Account growth percentage - 6.35%

EUR/JPY - 4 profit deals

AUD/CAD - 3 profit deals

USD/CAD - 1 profit, 1 loss

EUR/AUD - 1 profit

GBP/AUD - 1 profit

Oil - 1 loss

I think that it will be interesting for you to see also results from all of my signals, so:


Total profit for week - 69.75$

Account growth percentage - 6.3%

I made 4 trade deals in EUR/JPY - all in profit,

USD/CAD 2 trade deals 1 in profit, 1 - in loss

EUR/AUD 1 deal in profit

AUD/CAD 1 deal in profit


Total profit for week - 34.74$

Account growth percentage - 5.6%

EUR/JPY - 4 profit deals

AUD/CAD - 1 profit deal

EUR/AUD - 1 profit, 1 loss

USD/CAD - 1 profit, 1 loss

Oil - 1 loss


Total profit for week - 56.58$

Account growth percentage - 5.9%

AUD/CAD - 1 profit deal

EURJPY - 4 profit

USD/CAD - zero profit deal

EUR/AUD - 2 profit

EUR/GBP - 1 loss

Thank you for your trust!

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