Quant Mixed Pair 4729
0 comentários
Confiabilidade
205 semanas
0 / 0 USD
crescimento desde 2021 153%
Para estatísticas em detalhe, Faça o login ou registrar
  • Capital líquido
  • Rebaixamento
Negociações:
912
Negociações com lucro:
833 (91.33%)
Negociações com perda:
79 (8.66%)
Melhor negociação:
308.80 USD
Pior negociação:
-341.10 USD
Lucro bruto:
17 813.35 USD (8 323 654 pips)
Perda bruta:
-3 029.77 USD (1 076 703 pips)
Máximo de vitórias consecutivas:
170 (3 277.64 USD)
Máximo lucro consecutivo:
3 463.11 USD (100)
Índice de Sharpe:
0.39
Atividade de negociação:
100.00%
Depósito máximo carregado:
9.03%
Último negócio:
6 horas atrás
Negociações por semana:
6
Tempo médio de espera:
80 dias
Fator de recuperação:
11.53
Negociações longas:
826 (90.57%)
Negociações curtas:
86 (9.43%)
Fator de lucro:
5.88
Valor esperado:
16.21 USD
Lucro médio:
21.38 USD
Perda média:
-38.35 USD
Máximo de perdas consecutivas:
12 (-15.04 USD)
Máxima perda consecutiva:
-655.97 USD (8)
Crescimento mensal:
1.63%
Previsão anual:
19.82%
Algotrading:
0%
Rebaixamento pelo saldo:
Absoluto:
827.55 USD
Máximo:
1 281.79 USD (22.88%)
Rebaixamento relativo:
Pelo Saldo:
4.39% (610.65 USD)
Pelo Capital Líquido:
3.84% (478.98 USD)

Distribuição

Símbolo Operações Sell Buy
XAGUSD 159
US500 43
PFIZER 40
S&P500-21H 38
FORD 28
NVAX 28
ATT 27
EBS 25
XAUUSD 25
LTCUSD 24
XRX 22
ALCOA 21
XRPUSD 21
BAC 18
XNGUSD 17
INTEL 14
INO 14
BCHUSD 14
HK50 13
GE 12
CITIGROUP 11
GILD 11
HP 11
AIG 10
AMD 10
CISCO 10
GM 10
WFC 10
SNY 10
EBAY 9
PM 9
COCA-COLA 9
DELL 8
TRIP 8
WU 8
WDC 8
CCL 8
BTCUSD 8
MMM 7
TWTR 7
ALIBABA 6
BK 6
RCL 6
ETHUSD 6
MS 5
ORACLE 5
SPCE 5
AU200 5
JP225 5
MCDONALDS 3
US100 3
TESLA 3
NIKE 3
DISNEY 3
PYPL 3
#NIO 3
#PBR 3
ES35 3
UK100 3
#SWK 3
EU50 3
APPLE 2
GS 2
ATVI 2
BNTX 2
SBUX 2
JNJ 2
#NOK 2
#LLOY 2
FR40 2
XTIUSD 1
NETFLIX 1
MASTERCARD 1
NVIDIA 1
DPZ 1
FACEBOOK 1
MICROSOFT 1
AXP 1
IBM 1
PEPSICO 1
PG 1
RACE 1
VISA 1
WALMART 1
EA 1
QCOM 1
MRNA 1
XAUAUD 1
AMAZON 1
GOOGLE 1
XAUGBP 1
XAGEUR 1
US30 1
#DLTR 1
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 Lucro bruto, USD Loss, USD Lucro, USD
XAGUSD 6.1K
US500 -1K
PFIZER 337
S&P500-21H 113
FORD 199
NVAX 483
ATT 140
EBS 9
XAUUSD 1.3K
LTCUSD 303
XRX 127
ALCOA 296
XRPUSD 247
BAC 51
XNGUSD -56
INTEL 218
INO 23
BCHUSD 146
HK50 321
GE -189
CITIGROUP 58
GILD 160
HP 86
AIG 44
AMD 220
CISCO 162
GM 183
WFC 316
SNY 103
EBAY 14
PM 129
COCA-COLA 110
DELL 218
TRIP 113
WU 5
WDC 365
CCL 126
BTCUSD 409
MMM 247
TWTR 10
ALIBABA 65
BK 1
RCL 40
ETHUSD 190
MS 20
ORACLE 70
SPCE -3
AU200 48
JP225 21
MCDONALDS 53
US100 239
TESLA 356
NIKE 51
DISNEY 11
PYPL 29
#NIO 1
#PBR 11
ES35 207
UK100 87
#SWK 101
EU50 73
APPLE 0
GS 51
ATVI -4
BNTX 3
SBUX 159
JNJ -3
#NOK 1
#LLOY 0
FR40 29
XTIUSD 59
NETFLIX 27
MASTERCARD 2
NVIDIA 41
DPZ 47
FACEBOOK 24
MICROSOFT 1
AXP 2
IBM 10
PEPSICO 5
PG 0
RACE 6
VISA -4
WALMART -3
EA -1
QCOM 0
MRNA 5
XAUAUD 26
AMAZON 157
GOOGLE 91
XAUGBP 94
XAGEUR 59
US30 5
#DLTR 0
2K 4K 6K
2K 4K 6K
2K 4K 6K
Símbolo Lucro bruto, pips Loss, pips Lucro, pips
XAGUSD 79K
US500 -912K
PFIZER 3.7K
S&P500-21H 19K
FORD 3K
NVAX 12K
ATT 2.2K
EBS -8.8K
XAUUSD 106K
LTCUSD 154K
XRX 2K
ALCOA 10K
XRPUSD 109K
BAC 4.5K
XNGUSD 5.5K
INTEL 6.9K
INO 1.4K
BCHUSD 732K
HK50 1.8M
GE 8.2K
CITIGROUP 5.1K
GILD 2.3K
HP 2.6K
AIG 3.4K
AMD 13K
CISCO 3.8K
GM 5.6K
WFC 5.4K
SNY 2K
EBAY 2.4K
PM 5K
COCA-COLA 1.9K
DELL 14K
TRIP 5.5K
WU 878
WDC 6K
CCL 2K
BTCUSD 4.1M
MMM 5K
TWTR 2.6K
ALIBABA 3.9K
BK 1.6K
RCL 5.5K
ETHUSD 189K
MS 3.5K
ORACLE 4.7K
SPCE -22
AU200 72K
JP225 8.2K
MCDONALDS 3.8K
US100 239K
TESLA 26K
NIKE 2.8K
DISNEY 454
PYPL 1.7K
#NIO 64
#PBR 0
ES35 189K
UK100 68K
#SWK 2K
EU50 66K
APPLE 216
GS 3.1K
ATVI 154
BNTX 408
SBUX 2K
JNJ -2
#NOK 10
#LLOY -346
FR40 27K
XTIUSD 599
NETFLIX 3.1K
MASTERCARD 444
NVIDIA 4.5K
DPZ 4.9K
FACEBOOK 2.6K
MICROSOFT 254
AXP 253
IBM 1K
PEPSICO 567
PG 140
RACE 722
VISA -290
WALMART -215
EA 1
QCOM 90
MRNA 656
XAUAUD 4.1K
AMAZON 7.9K
GOOGLE 4.6K
XAUGBP 7.3K
XAGEUR 1.1K
US30 4.9K
#DLTR -33
1M 2M 3M 4M 5M
1M 2M 3M 4M 5M
1M 2M 3M 4M 5M
  • Depósito carregado
  • Rebaixamento
Melhor negociação: +308.80 USD
Pior negociação: -341 USD
Máximo de vitórias consecutivas: 100
Máximo de perdas consecutivas: 8
Máximo lucro consecutivo: +3 277.64 USD
Máxima perda consecutiva: -15.04 USD

A slippage média baseada em estatísticas de contas real de diferentes corretoras é especificada em pontos. Depende da diferença entre as cotações do provedor de "FBS-Real" e do assinante, bem como de atrasos na execução de ordens. Quanto menor o valor, melhor a qualidade da cópia.

AdmiralUK-MT5
0.00 × 2
FPMarketsSC-Live
0.00 × 17
EightcapGlobal-Live
0.00 × 1
Exness-MT5Real25
0.00 × 4
Exness-MT5Real10
0.00 × 1
MonetaMarkets-Live
0.00 × 1
Exness-MT5Real18
0.00 × 1
PlexyTrade-Server01
0.00 × 3
AxenBroker-Live
0.00 × 1
itexsys-Platform
0.00 × 1
XMAU-MT5
0.00 × 1
TickmillUK-Live
0.00 × 10
XBTFX-MetaTrader5
0.00 × 1
DooGroup-Live
0.00 × 2
ValutradesSeychelles-Live
0.00 × 4
XMGlobal-MT5 9
0.00 × 2
ExclusiveMarkets-Live
0.00 × 1
PepperstoneUK-Live
0.00 × 1
SwissquoteLtd-Server
0.00 × 2
PhillipFutures-Server
0.00 × 1
ArumTradeLimited-Server
0.00 × 1
VantageFX-Live
0.00 × 1
VTMarkets-Live
0.00 × 1
FIBOGroup-MT5 Server
0.00 × 1
SolidECN-Server
0.00 × 1
133 mais ...
Para estatísticas em detalhe, Faça o login ou registrar

Quantitative trading with money management

https://fbs.partners?ibl=575709&ibp=18661712

Quantitative trading involves using mathematical and statistical models to make trading decisions. Effective money management is crucial in this approach to ensure long-term profitability and risk control. Here are some key principles and strategies:


### Principles of Quantitative Trading


1. **Data-Driven Decisions**: Utilize historical data to create models that predict future price movements.

2. **Algorithmic Implementation**: Execute trades automatically based on predefined criteria using algorithms.

3. **Backtesting**: Test strategies on historical data to evaluate their performance.

4. **Risk Management**: Implement measures to control the amount of risk taken on each trade and the overall portfolio.


### Money Management Strategies


1. **Position Sizing**: Determine the amount of capital to allocate to each trade. Common methods include:

   - **Fixed Fractional**: A fixed percentage of the portfolio is risked on each trade.

   - **Kelly Criterion**: A formula-based approach to optimize the growth rate of the portfolio.


2. **Diversification**: Spread investments across different assets to reduce risk.


3. **Stop-Loss Orders**: Set predefined levels to exit a trade to minimize losses.


4. **Take-Profit Orders**: Set predefined levels to exit a trade to secure profits.


5. **Rebalancing**: Periodically adjust the portfolio to maintain desired risk levels and investment proportions.


### Quantitative Trading Strategies


1. **Mean Reversion**: Assume that asset prices will revert to their historical mean over time.

   - **Pairs Trading**: Trade two correlated assets by buying the underperformer and selling the outperformer.

   

2. **Momentum Trading**: Capitalize on the continuation of existing trends.

   - **Trend Following**: Identify and follow trends using indicators like moving averages.


3. **Statistical Arbitrage**: Exploit pricing inefficiencies between related assets.

   - **Market Neutral**: Maintain a balanced exposure by holding long and short positions.


4. **High-Frequency Trading (HFT)**: Execute a large number of trades in a short time to profit from small price discrepancies.

   - **Market Making**: Provide liquidity by continuously buying and selling to capture the bid-ask spread.


### Implementing a Quantitative Trading System


1. **Data Collection and Cleaning**: Gather and preprocess historical and real-time data.

2. **Model Development**: Create and validate predictive models using statistical techniques.

3. **Backtesting and Optimization**: Test the models on historical data and optimize parameters.

4. **Execution**: Implement the models using trading algorithms and manage trades.

5. **Monitoring and Adjustment**: Continuously monitor performance and adjust strategies as needed.


### Risk Management Tools


1. **Value at Risk (VaR)**: Estimate the maximum potential loss over a given period with a certain confidence level.

2. **Expected Shortfall (ES)**: Measure the average loss in scenarios where VaR is exceeded.

3. **Stress Testing**: Simulate extreme market conditions to assess potential impact on the portfolio.


By combining quantitative trading techniques with robust money management practices, traders can enhance their chances of achieving consistent and sustainable returns.

Sem comentários
2024.09.24 09:58
Removed warning: No trading activity detected on the Signal's account for the recent period
2024.09.23 18:59
No trading activity detected on the Signal's account for the last 6 days
2024.09.16 16:41
Removed warning: Low trading activity - not enough trades detected during the last month
2024.09.14 15:47
Low trading activity - only 7 trades detected in the last month
2024.09.10 05:31
Removed warning: No trading activity detected on the Signal's account for the recent period
2024.09.10 04:30
No trading activity detected on the Signal's account for the last 6 days
2024.01.05 05:14
No swaps are charged on the signal account
Para estatísticas em detalhe, Faça o login ou registrar
Sinal
Preço
Crescimento
Assinantes
Fundos
Saldo
Semanas
Expert Advisors
Negociações
Rentável
Atividade
PF
Valor esperado
Rebaixamento
Alavancagem
30 USD por mês
153%
0
0
USD
11K
USD
205
0%
912
91%
100%
5.87
16.21
USD
4%
1:500
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