Frankfurt DAX40 Portfolio
- Uzmanlar
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Anthony Marlon Galarreta Cedamanos
Sadece bir ya da iki iyi ay elde etmek için trading robotları geliştirmiyorum. Orta ve uzun vadeli bir bakış açısıyla algoritmik portföyler oluşturuyorum. - Sürüm: 1.0
- Etkinleştirmeler: 5
FRANKFURT
DAX40 MULTI-STRATEGY PORTFOLIO
15 INDEPENDENT STRATEGIES
8 LONG · 7 SHORT
MT5
NOT ONE STRATEGY. A COMPLETE PORTFOLIO.
FRANKFURT combines 15 independent DAX40 strategies in one system.
Different logics. Different market conditions.
Built across M30 · H1 · H2 · H4.
Diversification is built into the system — not added afterward.
PORTFOLIO DEVELOPMENT & VALIDATION
PORTFOLIO DEVELOPMENT
JAN 2020 · DEC 2025
6 YEARS OF HISTORICAL DATA
EVERY TICK BASED ON REAL TICKS
LIVE VALIDATION
2026 · 9 MONTHS (JAN-SEP)
CROSS-BROKER VALIDATED
FxPro · Tickmill · FP Markets
DEVELOPED ON MORE DATA.
COMPARED ON COMMON DATA.
FRANKFURT was developed using historical data from Jan 2020 to Dec 2025.
Performance comparisons use Oct 2022 – Sep 2026, the common historical window available across the validated brokers.
THREE RISK LEVELS · ONE PORTFOLIO ARCHITECTURE
FRANKFURT offers three exposure levels, allowing you to choose the balance between capital, risk, and return potential.
STANDARD
- Recommended Capital: $800+
- Risk Level: 1
- Historical Return: +560% to +600%
- Max Equity DD: 7% to 9%
PERFORMANCE
- Recommended Capital: $2,000+
- Risk Level: 3
- Historical Return: +670% to +720%
- Max Equity DD: 7.5% to 10.5%
HIGH PERFORMANCE
- Recommended Capital: $2,800+
- Risk Level: 5
- Historical Return: +800% to +860%
- Max Equity DD: 8% to 12%
Three exposure levels. Same portfolio logic.
Returns shown are cumulative historical returns, not annualized.
RETURN MEANS NOTHING WITHOUT RISK.
High returns are easy to show. What matters is how much risk is taken to achieve them.
DON’T BE FOOLED BY RETURNS ALONE
RECOMMENDED SETUP
MetaTrader 5
DAX40
Hedging Account
VPS Recommended
Then select the Risk Level that matches your account capital.
