This Strategy is something that is not yet seen in the EA and Forex markets in general. We are talking about a PORTFOLIO with a mix of strategies and risk per trade that cannot be achieved with a single strategy. Strong stress test were made on each strategy during backtest and only after a certain period of Forward test (usually 5-9 months) on real account they’re included in the Portfolio EA. The portfolio in question manages to contain the drawdown with diversified strategies (on the same
What is proposed with this Strategy is something that is not yet seen in the EA and Forex markets in general. We are talking about a PORTFOLIO with a mix of strategies and risk per trade that cannot be achieved with a single strategy. Strong stress test were made on each strategy during backtest and only after a certain period of Forward test (usually 5-9 months) on real account they’re included in the Portfolio EA. The portfolio in question manages to contain the drawdown with diversified
Hi all my friends!
I decided to share my portfolio, running from 2 year for those are interested to low risk performance. I mean with this portfolio we'll see low DD (10/15% max) with an expected 3/4% monthly profit. Enjoy your trades!