Multi Strategy Engine

Lars Andersen
Lars Andersen
Hi, I’m the developer behind Andersen Markets. I manage 15–20 algorithmic trading strategies across major indices and currencies, with a focus on systematic, data-driven decision-making.
0 comentarios
Fiabilidad
137 semanas
0 / 0 USD
incremento desde 2023 56%
Autorícese o regístrese para ver la estadística detallada
  • Equidad
  • Reducción
Total de Trades:
659
Transacciones Rentables:
417 (63.27%)
Transacciones Irrentables:
242 (36.72%)
Mejor transacción:
5 544.45 USD
Peor transacción:
-11 571.51 USD
Beneficio Bruto:
338 841.78 USD (258 721 pips)
Pérdidas Brutas:
-281 610.07 USD (176 406 pips)
Máximo de ganancias consecutivas:
11 (6 812.94 USD)
Beneficio máximo consecutivo:
13 584.13 USD (6)
Ratio de Sharpe:
0.06
Actividad comercial:
97.76%
Carga máxima del depósito:
70.61%
Último trade:
2 días
Trades a la semana:
2
Tiempo medio de espera:
4 días
Factor de Recuperación:
1.20
Transacciones Largas:
458 (69.50%)
Transacciones Cortas:
201 (30.50%)
Factor de Beneficio:
1.20
Beneficio Esperado:
86.85 USD
Beneficio medio:
812.57 USD
Pérdidas medias:
-1 163.68 USD
Máximo de pérdidas consecutivas:
9 (-3 537.08 USD)
Pérdidas máximas consecutivas:
-21 748.57 USD (4)
Crecimiento al mes:
5.34%
Pronóstico anual:
65.95%
Trading algorítmico:
92%
Reducción de balance:
Absoluto:
421.78 USD
Máxima:
47 594.01 USD (29.52%)
Reducción relativa:
De balance:
30.17% (48 784.88 USD)
De fondos:
16.03% (23 379.91 USD)

Distribución

Símbolo Transacciones Sell Buy
USDJPY 114
SP500 108
EURUSD 61
NDX 40
NI225 37
XLP 33
GBPJPY 31
GLD 30
TLT 25
AUDUSD 23
EURGBP 21
VNQ 21
CHFJPY 18
GBPUSD 17
AUDNZD 17
EURCHF 14
GDAXI 14
SMH 10
UK100 7
CADCHF 7
GBPNZD 6
GBPCHF 5
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
Símbolo Beneficio Bruto, USD Loss, USD Beneficio, USD
USDJPY -4.6K
SP500 28K
EURUSD 3.9K
NDX 21K
NI225 17K
XLP 544
GBPJPY -6.8K
GLD 3.6K
TLT 579
AUDUSD -4.3K
EURGBP -150
VNQ -1.4K
CHFJPY -7.9K
GBPUSD -4.3K
AUDNZD 1.7K
EURCHF -4.3K
GDAXI 11K
SMH 47
UK100 3.2K
CADCHF 2.5K
GBPNZD 2.8K
GBPCHF -5K
25K 50K 75K 100K 125K 150K 175K 200K
25K 50K 75K 100K 125K 150K 175K 200K
25K 50K 75K 100K 125K 150K 175K 200K
Símbolo Beneficio Bruto, pips Loss, pips Beneficio, pips
USDJPY -4.7K
SP500 26K
EURUSD 1.7K
NDX 20K
NI225 11K
XLP 455
GBPJPY -2.9K
GLD 4.7K
TLT 552
AUDUSD -693
EURGBP 2K
VNQ -304
CHFJPY -4.4K
GBPUSD -225
AUDNZD 1.4K
EURCHF -1.3K
GDAXI 21K
SMH 93
UK100 3.6K
CADCHF 967
GBPNZD 4.8K
GBPCHF -1.6K
20K 40K 60K 80K 100K
20K 40K 60K 80K 100K
20K 40K 60K 80K 100K
  • Deposit load
  • Reducción
Mejor transacción: +5 544.45 USD
Peor transacción: -11 572 USD
Máximo de ganancias consecutivas: 6
Máximo de pérdidas consecutivas: 4
Beneficio máximo consecutivo: +6 812.94 USD
Pérdidas máximas consecutivas: -3 537.08 USD

El deslizamiento medio a base de la estadística de ejecución en las cuentas reales de diferentes corredores se indica en puntos. Depende de la diferencia de las cotizaciones del proveedor de "Darwinex-Live" y del suscriptor, así como del retardo en ejecutar las órdenes. Cuanto menos sea este valor, mejor será la calidad del copiado.

ICMarketsSC-MT5
0.00 × 2
ICMarketsSC-MT5-2
0.00 × 11
ICMarketsSC-MT5-4
0.00 × 4
GFXSecurities-GFXSECURITIES
0.00 × 1
RoboForex-ECN
0.15 × 33
VTMarkets-Live
0.19 × 37
FOREX.comCA-Live 532
0.20 × 5
CapitalPointTrading-MT5-4
0.40 × 10
VantageFXInternational-Live
0.44 × 18
AmanaCapital-Live
0.63 × 875
ForexTimeFXTM-Live01
0.94 × 17
FPMarketsLLC-Live
1.00 × 3
Pepperstone-MT5-Live01
1.04 × 171
Darwinex-Live
1.08 × 3826
PrimeCodex-MT5
1.08 × 402
FXChoice-MetaTrader 5 Pro
1.40 × 5
Ava-Real 1-MT5
1.67 × 6
Exness-MT5Real20
2.00 × 1
SMCapitalMarkets-Live2
2.00 × 1
KuberaCapitalMarkets-Server
2.56 × 16
BlackBullMarkets-Live
3.00 × 1
XMGlobal-MT5 2
3.30 × 33
AdmiralMarkets-Live
3.51 × 282
Exness-MT5Real31
3.70 × 27
FPMarkets-Live
4.00 × 2
otros 17...
Autorícese o regístrese para ver la estadística detallada

Hi, I’m the developer behind Andersen Markets. I’ve spent over two years developing and refining a suite of 15–20 algorithmic strategies, primarily trading major indices and currencies.

My system is built around robust quantitative models, strict risk management, and strategy diversification. All signals are generated algorithmically and monitored daily with minimal manual intervention.

❌ No martingale, no grid, and no recovery tactics are used. Every trade is entered based on statistical edge, with fixed risk and a focus on long-term consistency.

A key moment in my development journey was during the market impact of Trump’s trade tariffs. That period highlighted the risk of too many correlated index strategies, which led to a significant drawdown in March. Since then, I’ve actively mitigated this by rebalancing my portfolio and strengthening cross-strategy independence.

With these improvements in place, I’m confident the system is now ready for subscribers.

I’m always open to feedback and collaboration. If you have ideas for improvement—or even your own strategy concepts—I’d love to hear them.

For full transparency, you can also view performance history and live stats here:

👉 https://www.fxblue.com/users/4000021154

If you're looking for a signal backed by real research, real capital, and real-time management, welcome aboard.


No hay comentarios
2026.06.01 12:45
Removed warning: No trading activity detected on the Signal's account for the recent period
2026.06.01 01:39
No trading activity detected on the Signal's account for the last 6 days
2025.05.27 16:21 2025.05.27 16:21:27  

What's New – Risk Adjustment on SP500

As part of my ongoing commitment to improve risk-adjusted returns , I have implemented a modification to one of the short strategies on the S&P 500 (SP500) .

The goal is to reduce exposure during heightened volatility and political uncertainty —particularly following the recent market impact related to Trump .

This is one of several steps I’m taking to reduce drawdown and ensure the system remains robust across various market environments.

The rest of the portfolio remains unchanged, with carefully selected instruments across currencies , indices , and ETFs , all designed to minimize correlation and enhance diversification.

I continue to actively monitor all strategies and will make further adjustments if needed to protect capital and optimize performance .

Thank you for following my signal — more updates to come!

2025.04.26 15:19 2025.04.26 15:19:58  

Market Update – Trading Focus

The system actively monitors and trades a diversified portfolio across currencies, indices, and ETFs to capture the best market opportunities.

I have recently updated the portfolio, removing some assets and strategies to ensure lower correlation and a stronger, more diversified setup.

Currencies:
AUDNZD
AUDUSD
CHFJPY
EURGBP
EURUSD
GBPUSD

Indices:
DAX (GDAXI)
S&P 500 (SP500)
FTSE 100 (UK100)
Gold (GLD)

ETFs:
Semiconductor Sector (SMH)
Long-Term Treasuries (TLT)
Real Estate Investment Trusts (VNQ)
Consumer Staples (XLP)

The strategies dynamically adapt to changing market conditions, combining technical precision with strong risk management to deliver consistent performance across asset classes.

Thank you for following my signal service and stay tuned for further updates!

2025.04.23 18:41
80% of growth achieved within 4 days. This comprises 0.76% of days out of 526 days of the signal's entire lifetime.
Autorícese o regístrese para ver la estadística detallada
Señal
Precio
Incremento
Suscriptores
Fondos
Balance
Semanas
Robots comerciales
Trades
Rentables
Actividad
PF
Beneficio Esperado
Reducción
Apalancamiento
30 USD al mes
56%
0
0
USD
163K
USD
137
92%
659
63%
98%
1.20
86.85
USD
30%
1:200
Copiar