vhmonteiro's Wettbewerbsprofil
Aktuelle Ort |
88
|
G&V ($) dieses Monats |
Tatsächlicher Kapitalgewinn im Trader Wettbewerb, diesen Monat
-
|
Max. Abzugswert |
Max. Abzugswert für den ausgewählten Monat. Die Berechnung wird einmal pro Tag durchgeführt (bei Tagesabschluss)
-
|
Gesamte gewonnene Preise |
Gesamte Anzahl an gewonnenen Preisen in allen Monaten der Wettbewerbsteilnahme
2 500$
|
Gesamtpunkte Anzahl |
Gesamtpunkte während aller Monate der Wettbewerbsteilnahme
255 Punkte
|
This is a simple strategy based in Price Action.
I used the Pair EURUSD in a Time Frame of 5
minutes. To trade, i use 4 kind of triggers, 2
to sell orders and another 2 to Buy orders.
this triggers as defined as conservator and as
agressive, and i'm testing this strategy in
contest to used in future in live account. The
conditions to open orders is:
1st. the range between MAX and MIN of last
candle be higher or equal than 10 pips. if i
reach this condition than we follow the next
trigger conditions:
(1) => Open-Close = X Pips; (2) => Close-Low = Y
Pips; (3) => (Close-Low)/4 = Z Pips; After this
calculations, if (1) result is lower than (3)
result than the system put a Sell order of
5Lots. This is the Trigger to Sell Aggressive
position.
(4) => Close-Open = R Pips; (5) => Open-Low = S
Pips; (6) => (Open-Low)/4 = T Pips; After this
calculations, if (4) result is lower than (6)
result than the system put a Buy order of
0.10Lots. This is the Trigger to Buy Conservator
position.
(1a) => Close-Open = Xa Pips; (2a) => High-Close
= Ya Pips; (3a) => (High-Close)/4 = Za Pips;
After this calculations, if (1a) result is lower
than (3a) result than the system put a Buy order
of 5Lots. This is the Trigger to Buy Aggressive
position.
(4a) => Open-Close = Ra Pips; (5a) => High-Open
= Sa Pips; (6a) => (High-Open)/4 = Ta Pips;
After this calculations, if (4a) result is lower
than (6a) result than the system put a Buy order
of 0.10Lots. This is the Trigger to Sell
Conservator position.
To all conditions, the TP is 3Pips and the SL is 30Pips
Zusammengefasste Gewinn/Verlust Dynamik
Ausgewählter Zeitraum:
01.09.2015
-
30.09.2015
Stände (Punkte): |
|
230 (52) |
Performance, $ (Punkte): |
|
19,39K$ (0) |
Drawdown, % (Punkte): |
|
85.24% (7) |
Bonuses: |
|
45 |
Average Profit Trade: |
|
0,59K$ |
Average Loss Trade: |
|
-6648.6$ |
Profit Faktor: |
|
0,00K |
Anzahl der Trades: |
|
647 |
Gehandeltes Volumen: |
|
3.159,32M$ |