Scandinavian Experts AI Trader

0 avis
Fiabilité
2 semaines
0 / 0 USD
croissance depuis 2026 0%
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  • Fonds propres
  • Prélèvement
Trades:
11
Bénéfice trades:
7 (63.63%)
Perte trades:
4 (36.36%)
Meilleure transaction:
1.15 USD
Pire transaction:
-1.07 USD
Bénéfice brut:
3.75 USD (306 pips)
Perte brute:
-3.40 USD (193 pips)
Gains consécutifs maximales:
3 (2.01 USD)
Bénéfice consécutif maximal:
2.01 USD (3)
Ratio de Sharpe:
0.10
Activité de trading:
1.70%
Charge de dépôt maximale:
3.66%
Dernier trade:
2 il y a quelques jours
Trades par semaine:
9
Temps de détention moyen:
29 minutes
Facteur de récupération:
0.20
Longs trades:
6 (54.55%)
Courts trades:
5 (45.45%)
Facteur de profit:
1.10
Rendement attendu:
0.03 USD
Bénéfice moyen:
0.54 USD
Perte moyenne:
-0.85 USD
Pertes consécutives maximales:
2 (-1.63 USD)
Perte consécutive maximale:
-1.63 USD (2)
Croissance mensuelle:
0.32%
Algo trading:
100%
Prélèvement par solde:
Absolu:
0.03 USD
Maximal:
1.72 USD (1.56%)
Prélèvement relatif:
Par solde:
1.54% (1.69 USD)
Par fonds propres:
0.39% (0.42 USD)

Distribution

Symbole Transactions Sell Buy
USDCHF-ECN 11
5 10 15 20
5 10 15 20
5 10 15 20
Symbole Bénéfice brut, USD Perte, USD Profit, USD
USDCHF-ECN 0
1 2 3 4 5 6 7
1 2 3 4 5 6 7
1 2 3 4 5 6 7
Symbole Bénéfice brut, pips Perte, pips Profit, pips
USDCHF-ECN 113
100 200 300 400 500
100 200 300 400 500
100 200 300 400 500
  • Charge de dépôt
  • Prélèvement
Meilleure transaction: +1.15 USD
Pire transaction: -1 USD
Gains consécutifs maximales: 3
Pertes consécutives maximales: 2
Bénéfice consécutif maximal: +2.01 USD
Perte consécutive maximale: -1.63 USD

Le dérapage moyen basé sur les statistiques d'exécution sur réel les comptes de divers courtiers est spécifié en pips. Elle dépend de la différence entre les cotations du fournisseur de "VTMarkets-Live 6" et les cotations de l'abonné, ainsi que des délais d'exécution des commandes. Des valeurs inférieures signifient une meilleure qualité de copie.

Pas de données

The Scandinavian Experts USDCHF 3-Layer FVG Signal is a structured market analysis system designed to identify high-probability imbalance reactions and continuation zones on USDCHF using a multi-layer Fair Value Gap methodology.

The system combines:

  • Higher timeframe directional context
  • Multi-layer liquidity imbalance detection
  • Volatility and spread filtering
  • Session-aware execution logic
  • Institutional-style price delivery analysis
  • Momentum exhaustion and continuation confirmation

Rather than relying on traditional lagging indicators alone, the strategy focuses on identifying areas where price has moved inefficiently and where liquidity rebalancing is statistically more likely to occur.

The model evaluates market structure through three independent confirmation layers:

Layer 1 — Macro Directional Bias

The system analyzes the broader directional structure and momentum environment of USDCHF to determine institutional flow alignment.

Layer 2 — Fair Value Gap Detection

Advanced imbalance logic identifies unfilled liquidity zones created by aggressive price displacement.

Layer 3 — Confirmation & Execution Filter

Execution is validated through volatility normalization, spread conditions, timing filters, and momentum confirmation before a signal is generated.

The signal framework is designed to reduce emotional decision-making and provide a more systematic approach to short-term market participation.


Core Concepts Used

The strategy architecture incorporates concepts related to:

  • Liquidity imbalance theory
  • Mean reversion probabilities
  • Volatility clustering
  • Market microstructure
  • Session-dependent order flow
  • Statistical momentum continuation

Example of imbalance representation:

F V G = ( H i g h n 2 < L o w n ) FVG = \left( High_{n-2} < Low_n \right)FVG=(Highn2<Lown)

Volatility normalization concepts may also incorporate ATR-based filtering:

A T R = 1 n i = 1 n T R i ATR = \frac{1}{n}\sum_{i=1}^{n} TR_iATR=n1i=1nTRi


Strategy Characteristics

  • Focused specifically on USDCHF market behavior
  • Optimized for structured and disciplined execution
  • Filters unstable market environments when conditions are unfavorable
  • Designed to avoid low-quality ranging conditions
  • Uses layered confirmation instead of single-trigger entries
  • Suitable for traders seeking rule-based signal interpretation

Recommended Environment

For optimal execution conditions, a low-spread Raw / ECN trading account is strongly recommended.
Execution quality, spreads, slippage, and broker infrastructure may significantly affect results.


Risk Disclaimer

Trading foreign exchange and leveraged financial instruments involves substantial risk and may not be suitable for all investors.

Past performance does not guarantee future results.
No trading system can guarantee profits or eliminate the risk of loss.

The Scandinavian Experts USDCHF 3-Layer FVG Signal is provided for informational and educational purposes only and should not be interpreted as financial advice, investment advice, or a guarantee of future performance.

Users are solely responsible for their own trading decisions, risk management, broker selection, and capital exposure.

It is possible to lose part or all invested capital. Always trade responsibly and only with funds you can afford to lose.


Aucun avis
2026.05.09 12:20
This is a newly opened account, and the trading results may be of random nature
2026.05.09 12:20
The number of deals on the account is too small to evaluate trading quality
Pour voir les trades en temps réel, veuillez s'identifier ou S'inscrire
Signal
Prix
Croissance
Les abonnés
Fonds
Solde
Semaines
Conseillers experts
Trades
Gagner %
Activité
PF
Rendement attendu
Prélèvement
Effet de levier
49 USD par mois
0%
0
0
USD
108
USD
2
100%
11
63%
2%
1.10
0.03
USD
2%
1:500
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