Greetings to all potential investors!


The signal will be at least an excellent piggy bank for you. But I believe it's performance will surprise you again and again with its productivity.

General principles:

  • The signal operates with a scalping strategy. No Martingale at all. The most orders use trailing stop.
  • The risk per trade is 1 - 5% (depend on the day of the week, impact market news, etc.). All trades have a stop loss.
  • On Fridays (on market closing) and potentially dangerous working days we trade by 1% risk per trade
  • On the impact news (FOMC, Non-Farm etc) that could undermine the market - trade will stop
  • Basic trading hours are after closing the American session and before the opening of the Asian session
  • I can forcibly close the trades, if I take this decision
  • The expected monthly gain of 10-60%

Recommendations:

  • I would recommend a minimum of USD 200 deposit, optimally - from USD 400 and up
  • There is a great probability of gaps in Monday's market opening. So trade in Friday-Monday more risky and we trade with lower risks (1-2%). Therefore, for a more conservative trade, you can disable this signal on Friday afternoon and enable the Monday afternoon. However, keep in mind that you can make good money on gaps as well. It's up to you.
  • Do not expect that every day the balance curve will go up only. There are unprofitable periods, so I recommend you to be patient, and for sure you'll be rewarded for it
  • To maximize profits ECN accounts and good ping are recommended

The initial price is $20, but can be increased later

Keep calm and be positive!



FAQ


Q: Can this strategy blow up my account? or is there some kind of risk parameters in place?

A: No. You can lose a maximum of 30-35% at once. This is an extreme situation that I never had before. I have EA which will close all trades at 30-35% drawdown automatically. So we could recover it for 1-2 weeks. I expect a gain of 10-60% per month.
  • 成长
  • 净值
  • 结余
  • 风险
  • 分配
  • 滑移
  • 评论
1月
2月
3月
4月
5月
6月
7月
8月
9月
10月
11月
12月
YTD
共计:
交易: 766
盈利交易: 546 (71.27%)
亏损交易: 220 (28.72%)
最好交易: 11.51 USD
最差交易: -32.13 USD
毛利: 985.92 USD (39 177 pips)
毛利亏损: -683.67 USD (26 795 pips)
最大连续赢利: 22 (82.38 USD)
最大连续盈利: 82.38 USD (22)
夏普比率: 0.14
交易活动: 21.87%
最大入金加载: 34.37%
采收率: 1.90
长期交易: 277 (36.16%)
短期交易: 489 (63.84%)
利润因子: 1.44
预期回报: 0.39 USD
平均利润: 1.81 USD
平均损失: -3.11 USD
最大连续失误: 8 (-7.67 USD)
最大连续亏损: -57.56 USD (4)
每月增长: -7.07%
年度预测: -85.76%
最好交易: 11.51 USD
最大连续赢利: 22 (82.38 USD)
最大连续盈利: 82.38 USD (22)
最差交易: -32.13 USD
最大连续失误: 8 (-7.67 USD)
最大连续亏损: -57.56 USD (4)
结余跌幅:
绝对: 0.41 USD
最大值: 158.96 USD (22.89%)
相对跌幅:
结余: 30.83% (158.96 USD)
净值: 16.88% (36.98 USD)

MFE和 MAE分布点图

在使用期内为每个持仓订单记录最大利润(MFE)值和最大亏损(MAE)值。这些参数使用最大未实现的潜在值和最大容许风险额外表现每个平仓订单。MFE/利润和MAE/利润分布图显示每个订单为沿X轴绘制的收到利润/亏损值的一个点,而潜在利润(MFE)和潜在亏损(MAE)的最大显示值则是沿Y轴绘制。

无数据
无数据

将光标放在参数/图说明上可以看到最佳和最糟的交易系列。在文章交易中的数学:如何评估交易结果中了解更多有关MAE和MFE分布的信息。

交易品种 交易 Sell Buy
EURAUD 69
AUDCAD 65
GBPUSD 61
EURSGD 55
GBPAUD 54
CADJPY 47
EURCAD 43
EURCHF 42
EURJPY 37
EURUSD 35
AUDUSD 34
CHFJPY 28
USDCHF 24
CADCHF 23
GBPCHF 23
AUDJPY 22
GBPCAD 20
NZDCAD 18
EURGBP 16
USDCAD 12
GBPJPY 11
AUDCHF 11
USDJPY 11
USDSGD 5
204060
204060
204060

基于有关不同交易商真实账户的执行统计的平均滑移点按点数指定。它取决于 ViproMarkets-Live 提供商以及订阅者之间不同的报价,以及订单执行的延迟。值越低意味着复制的质量越高。

ViproMarkets-Live
0.76 × 489
TradersWay-Live
1.15 × 34
RoboForexEU-ECN
1.16 × 31
ICMarkets-Live02
1.51 × 713
Darwinex-Live
1.63 × 142
Tickmill-Live02
2.08 × 292
ForexClub-MT4 Market Real Server
2.22 × 9
JustForex-Live
3.30 × 10
XM.COM-Real 6
5.95 × 91
RoboForexEU-Pro
6.29 × 48
NordGroupInv-Real1
7.55 × 38
查看详细统计,请 登录 或者 注册
没有评论
查看详细统计,请 登录 或者 注册