Perfil de concurso al_dcdemo's
Lugar actual |
83
|
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
22 950$
|
Puntuación total obtenida |
Puntuación total obtenida durante todo todos los meses de la participación en el concurso
5655 puntos
|
JScalp10November2024 is a scalping strategy. It opens a long
position
when RSI(14) closes below 25 and a short position when RSI(14) closes
above 75. The strategy opens one position per trading day (Monday to
Friday). It may skip one trading day per month. It trades only when
the spread is lower than or equal to 2 pips. The strategy uses
EUR/USD
currency pair on 1 Min timeframe. SL is set at 55 pips and TP at 5
pips but the latter is adjusted to 14 pips on a drawdown of $25K or
more. Trade amount is calculated as follows: amount = Equity / 10000
/ LastBidCandle.CandleOpen * 50 / stopLoss - 0.1. The strategy
validates margin before the weekend leverage comes into force and
closes a position if necessary.
Input parameters:
Name Value Description
defaultInstrument EUR/USD Instrument
defaultPeriod 1 Min Time period
slippage 2 Slippage (pips)
stopLoss 55 Stop loss (pips)
takeProfit 5 Take profit (pips)
startDay 2 Week day to start trading
endDay 6 Week day to end trading
skipDay 0 Month day to skip trading
startHour 10 Hour to start trading (GMT)
endHour 16 Hour to end trading (GMT)
maxSpread 2 Maximum spread (pips)
rsiValueLower 25 LONG position condition
rsiValueUpper 75 SHORT position condition
adjustProfitLoss -25000 P/L required to adjust take profit
adjustTakeProfit 14 Adjusted take profit (pips)
lastEquity 100000 Equity level before the last trade
Ganan/Pérd dinámicas acumuladas
Periodo seleccionado:
01.11.2024
-
30.11.2024
Posiciones (puntos): |
|
106 (136) |
Desempeño, $ (puntos): |
|
15,41K$ (95) |
Drawdown, % (puntos): |
|
87.82% (6) |
Bonuses: |
|
35 |
Average Profit Trade: |
|
5,57K$ |
Average Loss Trade: |
|
-35114.55$ |
Factor de Beneficio: |
|
0,00K |
Número de operaciones: |
|
15 |
Volumen negociado: |
|
233,59M$ |