DT INTRADAY 1

Filippo Mugnaini
Filippo Mugnaini
3 (1)
DRAGON TRADER is a position-building trading algorithm designed to accumulate exposure to currencies over the medium to long term. Currency selection is based on a combination of macroeconomic analysis, policy evaluation, and market sentiment. Risk is managed at the portfolio level through dynamic
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Надежность
12 недель
0 / 0 USD
прирост с 2026 64%
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  • Средства
  • Просадка
Всего трейдов:
306
Прибыльных трейдов:
213 (69.60%)
Убыточных трейдов:
93 (30.39%)
Лучший трейд:
0.77 EUR
Худший трейд:
-0.47 EUR
Общая прибыль:
109.99 EUR (13 137 pips)
Общий убыток:
-46.13 EUR (4 399 pips)
Макс. серия выигрышей:
42 (22.24 EUR)
Макс. прибыль в серии:
22.24 EUR (42)
Коэффициент Шарпа:
0.50
Торговая активность:
93.39%
Макс. загрузка депозита:
2.48%
Последний трейд:
15 часов
Трейдов в неделю:
8
Ср. время удержания:
4 часа
Фактор восстановления:
23.05
Длинных трейдов:
169 (55.23%)
Коротких трейдов:
137 (44.77%)
Профит фактор:
2.38
Мат. ожидание:
0.21 EUR
Средняя прибыль:
0.52 EUR
Средний убыток:
-0.50 EUR
Макс. серия проигрышей:
6 (-2.61 EUR)
Макс. убыток в серии:
-2.61 EUR (6)
Прирост в месяц:
17.77%
Алготрейдинг:
100%
Просадка по балансу:
Абсолютная:
0.16 EUR
Максимальная:
2.77 EUR (2.35%)
Отноcительная просадка:
По балансу:
2.32% (2.73 EUR)
По эквити:
2.61% (4.27 EUR)

Распределение

Символ Сделки Sell Buy
EURUSD 306
50 100 150 200 250 300 350 400
50 100 150 200 250 300 350 400
50 100 150 200 250 300 350 400
Символ Общая прибыль, USD Убыток, USD Прибыль, USD
EURUSD 73
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
25 50 75 100 125 150 175 200
Символ Общая прибыль, pips Убыток, pips Прибыль, pips
EURUSD 8.7K
2.5K 5K 7.5K 10K 13K 15K 18K 20K
2.5K 5K 7.5K 10K 13K 15K 18K 20K
2.5K 5K 7.5K 10K 13K 15K 18K 20K
  • Загрузка депозита
  • Просадка
Лучший трейд: +0.77 EUR
Худший трейд: -0 EUR
Макс. серия выигрышей: 42
Макс. серия проигрышей: 6
Макс. прибыль в серии: +22.24 EUR
Макс. убыток в серии: -2.61 EUR

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

VantageFX-Live
0.00 × 1
Alpari-MT5
0.00 × 5
Tradestone-Real
0.00 × 1
RoboMarketsDE-ECN
0.00 × 3
STARTRADERFinancial-Live
0.00 × 1
FXCC1-Trade
0.00 × 1
VantageInternational-Live 19
0.27 × 147
VantageMarkets-Live 19
0.33 × 106
Exness-MT5Real12
0.42 × 64
Exness-MT5Real7
0.44 × 485
VantageMarkets-Live 13
0.46 × 89
ICMarketsSC-MT5-6
0.50 × 6
RoboForex-ECN
0.52 × 3646
FIBOGroup-MT5 Server
0.67 × 3
ICMarketsSC-MT5-3
0.76 × 192
Exness-MT5Real8
0.78 × 196
Alpari-Real01
0.83 × 41
TitanFX-MT5-01
0.91 × 216
FusionMarkets-Live
0.95 × 38
ThreeTrader-Live
0.95 × 84
RannForex-Server
0.99 × 73
FXChoice-MetaTrader 5 Pro
1.00 × 1
Exness-MT5Real33
1.00 × 1
GoMarkets-Live
1.03 × 174
ForexClub-MT5 Real Server
1.08 × 188
еще 61...
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DEVELOPMENT UPDATES (JULY 13, 2026 - 21:40)

  • EDGE score update: 32 -> 38.51

___________________________________________________

SIGNAL OVERVIEW

Each DT INTRADAY signal comes from a unique intraday strategy, each trading the EURUSD with different short-term approaches and risk profiles, while sharing some specific features and constraints:

  • No grid/DCA/martingale involved 
  • Fast market execution, no broker SL/TP or BUY/SELL STOP/LIMIT orders 
  • Time/Spread/News filters 
  • Short-term technical pattern recognition: volatility/price/volume indicators, candlesticks, time of day/time of week 
  • One Setup/One Trade/One Size, each position is managed independently from the others

___________________________________________________

STRATEGY EVALUATION

I'm currently researching and developing strategies with increasingly higher E.D.G.E. scores, a metric that rewards a trading strategy for being able to achieve:

  • Less drawdown
  • More growth
  • Real statistical evidence

DT INTRADAY 1 - Edge Score Example:

Exposure-based Drawdown-adjusted Growth Estimate

EDGE = X / Y * √Z

X) Monthly growth: 16%

Y) Max DD: 2%

Z) Weekly Trading Exposure: 4 * 4 (trades * average H duration) = 16

EDGE = 16 / 2 * √16 = 32

This formula can be used to evaluate any signal. In short, higher EDGE scores are achieved by signals with greater monthly return per unit of drawdown, adjusted for market exposure.

___________________________________________________

COPIER ACCOUNT BALANCE

When subscribing to a signal, it is important to decide how much capital to allocate. This choice depends primarily on the strategy's assumed monthly growth and monthly costs and furthermore, once the costs are covered, on the level of exposure one is willing to accept to actually make a profit.


Let's make an example:

Signal Subscription: $30

VPS: $10

Total monthly costs: $40


The formula to estimate the required initial balance is:

Initial balance = (Desired net monthly profit + Total monthly costs) × 100 / Monthly growth%


Let's say we are looking at a signal with a 10% historical monthly growth and we are thinking about a $100 desired net monthly profit, the formula would turn out to be like this:

Initial balance = ($100 + $40) × 100 / 10

Initial balance = $140 x 10

Initial balance = $1400


For a $100 net monthly profit on a 10% monthly growth signal with $40 in monthly costs, one would need a $1400 account.


With 5% monthly growth:

to cover the $40 in monthly costs: $800 balance

to achieve the $20 desired net profit: $1,200 balance

to achieve the $50 desired net profit: $1,800 balance

to achieve the $100 desired net profit: $2,800 balance


With 15% monthly growth:

to cover the $40 in monthly costs: $267 balance

to achieve the $20 desired net profit: $400 balance

to achieve the $50 desired net profit: $600 balance

to achieve the $100 desired net profit: $933 balance


With 25% monthly growth:

to cover the $40 in monthly costs: $160 balance

to achieve the $20 desired net profit: $240 balance

to achieve the $50 desired net profit: $360 balance

to achieve the $100 desired net profit: $560 balance


That's why capital allocation is important. With not enough capital, even a profitable strategy may not be able to even cover the total monthly cost of copying its signal, regardless of how well it performed.

(These calculations are only estimates based on the assumed historical monthly growth. Actual results may vary due to market conditions, slippage, broker execution, leverage, and the copy settings used when copying the signal)

___________________________________________________

Everything above is for educational purposes only. It's not financial advice and it's not an invitation to participate into financial markets nor an attempt to promote financial products or services.

Trading and investing involve the risk of losses. Past performance does not guarantee future results, and risk of loss remains.


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Прирост
Подписчики
Средства
Баланс
Недели
Торговые роботы
Трейды
В плюсе
Активность
PF
Мат. ожидание
Просадка
Плечо
30 USD в месяц
64%
0
0
USD
164
EUR
12
100%
306
69%
93%
2.38
0.21
EUR
3%
1:500
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