Perfil de concurso Dmitry333777's
Lugar actual |
13
|
Este mes P&G ($) |
Aumento real de capital en el Concurso del Trader, este mes
-
|
Max. draw-down |
Max. draw-down value for the selected month. Calculation is done once per day (on settlement)
-
|
Total en premios ganados, $ |
Total de premios ganados durante todos los meses de la participación en el concurso
6 500$
|
Puntuación total obtenida |
Puntuación total obtenida durante todo todos los meses de la participación en el concurso
1074 puntos
|
High risk strategy for forex pairs. With calculation SL/TP from ATR
and high martingale coefficient.
First of all strategy check if open positions is present in system.
Then Calculate position size, With high risk now it 1,5% of equity.
Calculate atr in 8 hours, it is fast optimal parameter. TP is 2.8
ATRs, SL is 1.4 ATRs. Strategy determine day of week and hour of day
and don't trade after 19 hours and on fridays.
First position is open in long direction if 1hour candle close above
SMA (1 minute). Short if below SMA.
On trade event "Position close" if profit=0 pips or more than 0.
Strategy calculate future TP/SL (2.8/1.4) from atr in 8 hours. To
maximize profit on trend conditions, money management rule sum last
position volume with current volume calculated as 1,5% from equity.
Rule for direction same as above, 1minute sma, below and above.
If we have loss (p/l below 0) on "position close" event, money
management rule multiply previous volume in 2.7 times, for loses
compensation and open trade in reverse direction (if previous long -
next open short)
https://www.dukascopy.com/fxcomm/blog/?action=post-show&post_id=223006
Ganan/Pérd dinámicas acumuladas
Periodo seleccionado:
01.12.2023
-
31.12.2023
Posiciones (puntos): |
|
38 (235) |
Desempeño, $ (puntos): |
|
135,64K$ (176) |
Drawdown, % (puntos): |
|
53.43% (23) |
Bonuses: |
|
36 |
Average Profit Trade: |
|
21,73K$ |
Average Loss Trade: |
|
-19842.05$ |
Factor de Beneficio: |
|
0,00K |
Número de operaciones: |
|
25 |
Volumen negociado: |
|
546,19M$ |