Welcome.

This signal is replacing this one: https://www.mql5.com/en/signals/220599   (funding was obtained from the profits here)

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Please use: ICMarkets (ECN account/commission based) and Vultr VPS ($50 credit!!) (NYC) otherwise your spread and slippage will reduce your profits. If you don’t like ICMarkets, send me a message.

I REPEAT... please use ICMarkets (AUD account type) and a vps based in NYC. I recommend Vultr VPS ($50 credit!!) .

This is because 1) spreads are the tightest I have measured. 2) swaps are lower than most 3) $7 AUD RT per lot is far cheaper than $7 USD RT per lot.

If you find a broker with tighter spreads (<0.7 on EURUSD) in 00:00->01:00 then put me to the challenge.  

Load up this: https://www.mql5.com/en/market/product/1645 onto a 1-minute chart and then set the settings to make "writetocsv" true. Then zip up the files and send the spread exported to me.

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Trading based on EURUSD range in late NY session and Asian session.

This signal, uses settings that have been optimised over the last 3 years. I have performed countless back, forward testing and retraining data sets to obtain optimum settings whilst minimising curve fitting.

Running at relatively high risk, adjust your balance at which it is copied at accordingly. I recommend to start at 50% and work upwards. Alternatively, you can run at 95% risk, and withdraw profits weekly.

All trades will have a SL. This is set, but not locked. I will adjust based on the current range. Very rarely is an SL hit.

Any questions, let me know.

 

Thanks! 

  • Прирост
  • Средства
  • Баланс
  • Риски
  • Распределение
  • Проскальзывание
  • Отзывы (5)
  • Новости
янв
фев
мар
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май
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июл
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окт
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дек
год
Всего:
Всего трейдов: 60
Прибыльных трейдов: 52 (86.66%)
Убыточных трейдов: 8 (13.33%)
Лучший трейд: 1631.73 AUD
Худший трейд: -1853.43 AUD
Общая прибыль: 16125.36 AUD (2873 pips)
Общий убыток: -5507.60 AUD (693 pips)
Макс. серия выигрышей: 23 (11223.47 AUD)
Макс. прибыль в серии: 11223.47 AUD (23)
Коэффициент Шарпа: 0.33
Торговая активность: 3.62%
Макс. загрузка депозита: 53.67%
Фактор восстановления: 2.49
Длинных трейдов: 25 (41.67%)
Коротких трейдов: 35 (58.33%)
Профит фактор: 2.93
Мат. ожидание: 176.96 AUD
Средняя прибыль: 310.10 AUD
Средний убыток: -688.45 AUD
Макс. серия проигрышей: 2 (-2632.66 AUD)
Макс. убыток в серии: -2632.66 AUD (2)
Прирост в месяц: 75.59%
Лучший трейд: 1631.73 AUD
Макс. серия выигрышей: 23 (11223.47 AUD)
Макс. прибыль в серии: 11223.47 AUD (23)
Худший трейд: -1853.43 AUD
Макс. серия проигрышей: 2 (-2632.66 AUD)
Макс. убыток в серии: -2632.66 AUD (2)
Просадка по балансу:
Абсолютная: 665.84 AUD
Максимальная: 4264.27 AUD (36.33%)
Отноcительная просадка:
По балансу: 36.33% (4264.27 AUD)
По эквити: 30.10% (2805.84 AUD)

Точечные графики распределения MFE и MAE

Для каждого открытого ордера в течение его жизни записываются значения максимальной прибыли (MFE) и максимального убытка (MAE). Эти показатели дополнительно характеризуют каждый закрытый ордер значениями максимального нереализованного потенциала и максимального допущенного риска. На графиках распределения MFE/Profit и MAE/Profit каждому ордеру соответствует точка, где по горизонтали дается значение полученной прибыли/убытка, а по вертикали максимально показанных значений потенциальной прибыли (MFE) и потенциального убытка (MAE).

Нет данных
Нет данных

Наведите курсор на показатели/подписи к графикам, чтобы увидеть лучшие и худшие торговые серии. Более подробно о распределениях MAE и MFE можно почитать в статье Математика в трейдинге. Оценка результатов торговых сделок.

Символ Сделки Sell Buy
EURUSD 39
GBPUSD 21
10203040
10203040
10203040

Среднее проскальзывание на основе статистики исполнения на реальных счетах разных брокеров указано в пунктах. Зависит от разницы между котировками поставщика с "ICMarkets-Live03" и подписчика, а также от задержек в исполнении ордеров. Чем меньше значение, тем лучше качество копирования.

Брокер Пункты
VitalMarkets-Demo Server
0.60 × 5
ICMarkets-Live03
0.64 × 3338
ICMarkets-Live06
0.66 × 98
ICMarkets-Live05
0.81 × 486
ICMarkets-Live07
0.81 × 26
Pepperstone-Edge06
1.00 × 1
TitanFX-04
1.00 × 2
ICMarkets-Live02
1.01 × 971
Pepperstone-EDGE04
1.20 × 60
Pepperstone-Demo01
1.24 × 87
XM.COM-Real 10
1.37 × 502
Pepperstone-Edge01
1.38 × 26
TitanFX-01
1.39 × 77
Quantix-Live
1.55 × 1049
MYFXMarkets-US09-Live
1.58 × 125
Tickmill-Live
1.62 × 580
Pepperstone-01
1.73 × 521
EGlobal-Cent4
1.74 × 158
ILQAu-A1 Live
1.77 × 117
AFX-Real
1.78 × 193
ICMarkets-Live01
1.79 × 394
KRCCORP-Real
1.89 × 54
RoboForex-ECN
1.90 × 63
RoboForexDE-Pro
1.96 × 50
FIBO-FIBO Group MT4 Demo Server
2.00 × 1
еще 255... Авторизуйтесь или зарегистрируйтесь и получите доступ к текущим сделкам поставщика
Средняя оценка:
Arief Hidayat
402
2016.11.17 00:23 
 

Shiiiit happened.......!!!!

mbrand0307
264
2016.11.14 02:09  (изменен 2016.11.15 04:12) 
 

Big DD!!

This is such a terrible signal for the first time!

Yang May Leong
2513
2016.11.11 23:53  (изменен 2016.11.15 01:37) 
 

Jeremy is super nice guy, he share me some simple scripts to test the spreads as well as enable to "copy" that template to auto open all cur charts so that i can test it for all currencies

VPS in NY, NJ with just 1.92ms ping to IC-live05 acct and just 3.24ms ping to signal server. So far only ONE trade whereby i lost 0.1 pips against JR's results. 2 i had better results

I will definitely consider 2x subs, this is my 1x subs with this signal and so far I am happy that JR has sane trading strategies. Fast entry and deadly accurate exit sometimes fast exit (from history) despite small losses meant least dd% on acct. Despite a smaller balance lots are quite large and my margin level went to 436%. But I am assured coz i knew JR's EA will exit fast. Well DONE Jeremy! FYI, I realised I knew Jeremy back 2yrs ago when we exchange PM, small world indeed

15/Nov: Ok I gave up I dont know where its going now and I have killed one open trade today and got losses of $388 in total from 14/Nov loss as well as today. SMA 34,12 is still bullish and has turned bullish at 00:00 IC time. I have suspended subs until signal stablised. Rather loss $40 than larger sums and I already lost abt $400 including rollovers and comms

fanshenghua
519
2016.11.11 01:39 
 

Good job,tickmill is ok.

jin zhou
1075
2016.11.06 23:19  (изменен 2016.11.15 02:36) 
 

It is recommended to turn off the signal so that we can return the subscription fee.

2016.12.04 14:34 2016.12.04 14:34:17 

Not scalping today, and maybe tomorrow due to the Italy Referendum - Higher volatility may be expected, which could be unfavorable market conditions for the signal. Mondays aren't always great either ;)

2016.11.27 15:25 2016.11.27 15:25:25 

Stay tuned for a come back!

This is forex, but I've been working hard to improve current functionality and expand onto Gbpusd which I'll be running as a bonus to current subscribers before I run it on its own.

Cheers

2016.11.16 17:33 2016.11.16 17:33:53 

Dear Subscribers.

Apologies in the delay in getting back to you.

We have been busy doing some post analysis.

Firstly, we do feel your pain and anger. As its not only our funds that I also lost, but we also lost yours and the confidence that you have in me as a provider.

But this is forex, and for anyone who asked, the systems are adjusted for a risk of 40-50% dd (primary signal); so we are still within specification; even with the election, where we witnessed numerous MQL signal "low risk, low growth" accounts be completely wiped out from either brexit, the GBP flash crash or by Trump.

And our account is high risk high growth!

Now for those who want to know "what happened!?!?!".

The losses on the 15th:

Firstly, there was a low rated news speech which potentially caused a delayed reaction on USD. Further though there was some strong news out of china around the same time which we hadn't noticed the night before on any news site (or in retrospect; I do monitor/disable based on high or medium impact news). Upon analysis on the day, we expected the market to pull higher (which it did), but that was after it had pulled down to the 200ema on the m15 (UCHF).... which wasn't a nice situation. And anyone in this game, confirmation bias is always a bitch as It's always better in hind sight. Aside, it could've simply kept going beyond the 200.

EURUSD was relatively lucky here.

The losses on the 14th:

Referring to USDCHF medium risk. Unfortunately there was reasonable slippage on our account which then caused the trades to miss on exit criteria relative to the other account. Followed up a break higher, which it does often retest a break, but not in this case. EURUSD had a similar outcome, but not related to slippage, just simple price movement.

Further lessons have been reinforced:

"as always" its better to take a small loss then a big one.

Lessons and recommendations for you guys:

• DD can and does happen.

• there is no "god" system that can avoid this.

• Its a game of probability, and as you can tell, we provide typically high probably trades; just the downside risk is a little larger then what you would like.

• adjust your balance utilisation to something you have comfortable with.

• consider subscribing to the normal risk signal and not the medium risk and simply adjusting your balance utilisation. (this also has the potential for less profit, but less potential for the master having slippage which will impact exits.

The market did have reasonably big moves for the asian session anyway which put us in the mess; this was primarily on USD based pairs; so it could be left over election volatility.

Good news is that it shows on the backtest, so moves like these had previously been encountered.

Any questions let me know.

Thank you for your patience while WE rebuild.

2016.11.07 16:11 2016.11.07 16:11:11 

Dear all; trading on halt until after the election. Will be monitoring market.

Thanks

2016.11.01 12:11 2016.11.01 12:11:10 

Dear all; please see updated doc with a few tips and explanations; along with a few more options on how I can help you reduce execution delay. http://bit.ly/signaloptions

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