Osvaldas Sulajevas / Профиль
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Перед просмотром результатов я хотел бы уточнить два момента, касающихся заявленной просадки в 41% и максимальной загрузки депозита.
Просадка 41%: Данная просадка произошла только один раз за весь период тестирования и была вызвана неожиданной реакцией рынка на незапланированное публичное заявление президента Дональда Трампа. Обычно стратегия избегает торговли во время важных запланированных новостей, однако это событие было неожиданным и поэтому не могло быть заранее отфильтровано. Я беру на себя ответственность за данную ситуацию, и с тех пор мы усилили процесс мониторинга и контроля рисков. Кроме автоматических фильтров, мы также вручную отслеживаем важные новостные события.
Максимальная загрузка депозита: Это также был единичный случай в начале периода тестирования, когда одновременно работало большое количество стратегий/пар. Это не было связано с ухудшением работы стратегии или увеличением просадки, а исключительно с тем, что одновременно было активировано слишком много сетапов. После этого мы пересмотрели портфель и сократили пересекающуюся экспозицию, чтобы обеспечить более контролируемый общий уровень риска.
Я считаю, что эти два единичных события следует рассматривать в контексте всего периода тестирования, а не как показатель обычного профиля риска стратегии.
AlgoForge
AlgoForge — это адаптивная алгоритмическая торговая стратегия, ориентированная на стабильное, дисциплинированное исполнение и долгосрочный рост счёта.
Система в основном работает автоматически, при этом осуществляется ручной контроль рыночных условий, важных новостных событий и общей экспозиции. При необходимости позиции или уровень экспозиции могут корректироваться вручную.
Как это работает:
* Основное внимание уделяется EURUSD во время азиатской и NY-сессий.
* Используется адаптивное управление позициями вместо фиксированной сетки.
* EA постоянно корректирует своё исполнение в зависимости от рыночных условий и волатильности.
* Позиции открываются и управляются автоматически в соответствии со стратегией.
* Когда сделка достигает своей целевой отметки, система может перейти в динамический трейлинг-стоп, позволяя прибыльным сделкам продолжать движение при одновременной защите части полученной прибыли.
Размер счёта и риск
Вам не обязательно иметь такой же размер счёта, как у поставщика сигнала. При копировании сигнала размеры позиций автоматически корректируются в соответствии с размером счёта подписчика и доступными торговыми условиями.
Это означает, что меньший счёт может копировать стратегию с пропорционально меньшими позициями. Однако всегда необходимо учитывать минимальный размер лота, кредитное плечо и условия конкретного брокерского счёта.
Каждый трейдер также может выбрать собственный уровень риска и настройки защиты счёта в соответствии со своей личной толерантностью к риску.
В трейдинге не существует Святого Грааля. Убыточные сделки и просадки являются частью любой стратегии. Цель AlgoForge — дисциплинированное исполнение, контролируемая экспозиция и стабильные результаты в долгосрочной перспективе.
Просадка 41%: Данная просадка произошла только один раз за весь период тестирования и была вызвана неожиданной реакцией рынка на незапланированное публичное заявление президента Дональда Трампа. Обычно стратегия избегает торговли во время важных запланированных новостей, однако это событие было неожиданным и поэтому не могло быть заранее отфильтровано. Я беру на себя ответственность за данную ситуацию, и с тех пор мы усилили процесс мониторинга и контроля рисков. Кроме автоматических фильтров, мы также вручную отслеживаем важные новостные события.
Максимальная загрузка депозита: Это также был единичный случай в начале периода тестирования, когда одновременно работало большое количество стратегий/пар. Это не было связано с ухудшением работы стратегии или увеличением просадки, а исключительно с тем, что одновременно было активировано слишком много сетапов. После этого мы пересмотрели портфель и сократили пересекающуюся экспозицию, чтобы обеспечить более контролируемый общий уровень риска.
Я считаю, что эти два единичных события следует рассматривать в контексте всего периода тестирования, а не как показатель обычного профиля риска стратегии.
AlgoForge
AlgoForge — это адаптивная алгоритмическая торговая стратегия, ориентированная на стабильное, дисциплинированное исполнение и долгосрочный рост счёта.
Система в основном работает автоматически, при этом осуществляется ручной контроль рыночных условий, важных новостных событий и общей экспозиции. При необходимости позиции или уровень экспозиции могут корректироваться вручную.
Как это работает:
* Основное внимание уделяется EURUSD во время азиатской и NY-сессий.
* Используется адаптивное управление позициями вместо фиксированной сетки.
* EA постоянно корректирует своё исполнение в зависимости от рыночных условий и волатильности.
* Позиции открываются и управляются автоматически в соответствии со стратегией.
* Когда сделка достигает своей целевой отметки, система может перейти в динамический трейлинг-стоп, позволяя прибыльным сделкам продолжать движение при одновременной защите части полученной прибыли.
Размер счёта и риск
Вам не обязательно иметь такой же размер счёта, как у поставщика сигнала. При копировании сигнала размеры позиций автоматически корректируются в соответствии с размером счёта подписчика и доступными торговыми условиями.
Это означает, что меньший счёт может копировать стратегию с пропорционально меньшими позициями. Однако всегда необходимо учитывать минимальный размер лота, кредитное плечо и условия конкретного брокерского счёта.
Каждый трейдер также может выбрать собственный уровень риска и настройки защиты счёта в соответствии со своей личной толерантностью к риску.
В трейдинге не существует Святого Грааля. Убыточные сделки и просадки являются частью любой стратегии. Цель AlgoForge — дисциплинированное исполнение, контролируемая экспозиция и стабильные результаты в долгосрочной перспективе.
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Osvaldas Sulajevas
Today was a very difficult day. There are no excuses — I made the decision to close the positions manually at around -$2,500 / -42% drawdown. It was not an easy decision, but I believe it was the right one from a risk-management perspective.
There were no major news events that caused this move, and the market simply continued moving strongly against the strategy without giving us the expected pullback. At some point, I had to accept the loss rather than continue increasing the risk.
I sincerely apologize to everyone who was following me and experienced this loss. I take full responsibility for the decision and the result. Thank you to everyone who stayed with me and supported me.
There were no major news events that caused this move, and the market simply continued moving strongly against the strategy without giving us the expected pullback. At some point, I had to accept the loss rather than continue increasing the risk.
I sincerely apologize to everyone who was following me and experienced this loss. I take full responsibility for the decision and the result. Thank you to everyone who stayed with me and supported me.
Osvaldas Sulajevas
Новости о сигнале AlgoForge
apologize to everyone for the lower number of trades during the New York session this week. This week has been unusually packed with important US economic news — including ISM, JOLTS, ADP, today’s ISM Services, and tomorrow’s major US jobs report (NFP). These events can cause very sudden and one-sided market movements, which are not ideal conditions for our strategy. For this reason, I’m intentionally skipping some New York sessions this week. The number of trades is not what matters — quality
Osvaldas Sulajevas
I apologize to everyone for the lower number of trades during the New York session this week.
This week has been unusually packed with important US economic news — including ISM, JOLTS, ADP, today’s ISM Services, and tomorrow’s major US jobs report (NFP). These events can cause very sudden and one-sided market movements, which are not ideal conditions for our strategy.
For this reason, I’m intentionally skipping some New York sessions this week. The number of trades is not what matters — quality and risk management are.
I don’t want to open trades simply to increase the trade count when market conditions are not favorable for the strategy.
This is only a temporary decision based on this week’s unusual news schedule. The goal is to protect capital and wait for more normal market conditions.
Thank you for your understanding and patience. 🙏
This week has been unusually packed with important US economic news — including ISM, JOLTS, ADP, today’s ISM Services, and tomorrow’s major US jobs report (NFP). These events can cause very sudden and one-sided market movements, which are not ideal conditions for our strategy.
For this reason, I’m intentionally skipping some New York sessions this week. The number of trades is not what matters — quality and risk management are.
I don’t want to open trades simply to increase the trade count when market conditions are not favorable for the strategy.
This is only a temporary decision based on this week’s unusual news schedule. The goal is to protect capital and wait for more normal market conditions.
Thank you for your understanding and patience. 🙏
Osvaldas Sulajevas
This week has been quite an active one for EUR/USD, with a lot of important news and market developments affecting price action.
Today, Thursday, I was personally monitoring the news and watching how the market was reacting throughout the session. The EA was working normally and all systems and filters were operating as intended. However, since I personally supervise the trades and sometimes step in when I see conditions that require a more cautious approach, I decided to stop the EA and close today’s trades around breakeven.
The market could have continued and potentially produced a profit, but I preferred to finish the day at around 0 and wait for the next opportunity. Everything worked as planned — this was simply a personal risk-management decision from my side.
This month has been a little weaker compared with the previous months, currently around +20%, while previous months were around +30–36%. Still, we remain positive, and with summer coming to an end and September bringing the start of autumn, I’m looking forward to more opportunities and stronger trading ahead.
Thank you to everyone who continues to support and trust the signal. We keep moving forward! 💪📈
Today, Thursday, I was personally monitoring the news and watching how the market was reacting throughout the session. The EA was working normally and all systems and filters were operating as intended. However, since I personally supervise the trades and sometimes step in when I see conditions that require a more cautious approach, I decided to stop the EA and close today’s trades around breakeven.
The market could have continued and potentially produced a profit, but I preferred to finish the day at around 0 and wait for the next opportunity. Everything worked as planned — this was simply a personal risk-management decision from my side.
This month has been a little weaker compared with the previous months, currently around +20%, while previous months were around +30–36%. Still, we remain positive, and with summer coming to an end and September bringing the start of autumn, I’m looking forward to more opportunities and stronger trading ahead.
Thank you to everyone who continues to support and trust the signal. We keep moving forward! 💪📈
Osvaldas Sulajevas
Market Update 📊
This week has been quite unusual for the EUR/USD market. The USD has been under significant pressure, while EUR/USD has moved to multi-month highs. We have also seen weaker U.S. economic data and changing expectations around Fed policy, which have added further volatility to the market.
Because of these conditions, I decided not to open new trades during today’s New York session.
I closely monitor not only the trading results, but also the overall market conditions and important economic news. Sometimes the best decision is simply to step back and allow the market to stabilize rather than taking unnecessary risk.
I know there were fewer trades this week than usual, but protecting capital and maintaining long-term stability is more important than forcing trades every day.
I plan to return to the normal trading schedule from August 24th, provided that market conditions are suitable.
Thank you to everyone following and supporting the strategy. 🙏
Sometimes the best trade is no trade at all.
This week has been quite unusual for the EUR/USD market. The USD has been under significant pressure, while EUR/USD has moved to multi-month highs. We have also seen weaker U.S. economic data and changing expectations around Fed policy, which have added further volatility to the market.
Because of these conditions, I decided not to open new trades during today’s New York session.
I closely monitor not only the trading results, but also the overall market conditions and important economic news. Sometimes the best decision is simply to step back and allow the market to stabilize rather than taking unnecessary risk.
I know there were fewer trades this week than usual, but protecting capital and maintaining long-term stability is more important than forcing trades every day.
I plan to return to the normal trading schedule from August 24th, provided that market conditions are suitable.
Thank you to everyone following and supporting the strategy. 🙏
Sometimes the best trade is no trade at all.
Osvaldas Sulajevas
EUR/USD Market Update
No trade today as EUR/USD made an unusually strong move higher and reached multi-month highs. The move was driven by significant USD weakness following today’s US Treasury announcement regarding increased long-term Treasury buyback operations.
With the market currently moving strongly in one direction, I prefer to stay cautious rather than force trades in conditions outside the strategy’s normal range.
For the same reason, I may keep the EA inactive during tonight’s Asian session as well and allow the market to stabilize before resuming normal trading.
Risk management always comes first.
No trade today as EUR/USD made an unusually strong move higher and reached multi-month highs. The move was driven by significant USD weakness following today’s US Treasury announcement regarding increased long-term Treasury buyback operations.
With the market currently moving strongly in one direction, I prefer to stay cautious rather than force trades in conditions outside the strategy’s normal range.
For the same reason, I may keep the EA inactive during tonight’s Asian session as well and allow the market to stabilize before resuming normal trading.
Risk management always comes first.
Osvaldas Sulajevas
News & Trading Update 📢
Please don’t be surprised if there is no trade during a particular Asian or New York session.
The EA monitors important economic news and current market conditions before opening a trade. If high-impact news is scheduled or the price action around the news creates unusual volatility or an unfavorable market structure, the system may skip the trade and wait for better conditions.
The EA also takes into account price action during and shortly after important news. Therefore, even if a trading session is normally active, a trade may not be opened if the required conditions are not met.
The goal is not to trade every session, but to trade when the strategy’s conditions are present and avoid unnecessary exposure during potentially unstable market conditions.
Please don’t be surprised if there is no trade during a particular Asian or New York session.
The EA monitors important economic news and current market conditions before opening a trade. If high-impact news is scheduled or the price action around the news creates unusual volatility or an unfavorable market structure, the system may skip the trade and wait for better conditions.
The EA also takes into account price action during and shortly after important news. Therefore, even if a trading session is normally active, a trade may not be opened if the required conditions are not met.
The goal is not to trade every session, but to trade when the strategy’s conditions are present and avoid unnecessary exposure during potentially unstable market conditions.
Osvaldas Sulajevas
Today was one of the most challenging trading days so far. An unusually strong market move pushed the strategy to its highest drawdown, but the cycle still closed in profit. The strategy remained consistent and executed exactly as designed. Thank you for your continued trust
Osvaldas Sulajevas
System Update – June 22, 2026
Thank you to everyone following and supporting the signal.
During today’s Asian session, a minor technical issue occurred while testing a newly added trade management feature (Trailing Stop enhancement). As a result, one trade was closed earlier than intended with only a small execution cost.
The issue was identified immediately and corrective adjustments have already been implemented.
Risk management and capital preservation remain the highest priorities. The strategy continues to be actively monitored, with both algorithmic execution and manual oversight used to ensure stable long-term performance.
Thank you for your trust and continued support.
Thank you to everyone following and supporting the signal.
During today’s Asian session, a minor technical issue occurred while testing a newly added trade management feature (Trailing Stop enhancement). As a result, one trade was closed earlier than intended with only a small execution cost.
The issue was identified immediately and corrective adjustments have already been implemented.
Risk management and capital preservation remain the highest priorities. The strategy continues to be actively monitored, with both algorithmic execution and manual oversight used to ensure stable long-term performance.
Thank you for your trust and continued support.
Osvaldas Sulajevas
Опубликовал MetaTrader 5 сигнал
Before reviewing the results, I would like to clarify two points regarding the reported 41% drawdown and maximum deposit load. 41% Drawdown: This drawdown occurred only once during my live trading history and was caused by an unexpected market reaction to an unplanned public statement by President Donald Trump. At the time, there were no scheduled high-impact news events, and the strategy was trading normally according to its rules. The EA does not trade around scheduled high-impact
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I didn't expect that from you...
Please try to recover; you can do it.