FXRabbit's profilo del contest
Posizione attuale |
142
|
Current month's P&L, USD |
Real increase of capital in the current month
-
|
Max. draw-down |
Max. draw-down value for the selected month. Calculation is done once per day (on settlement)
-
|
Total prizes won |
Total prizes won during all months of participation in the contest
2 500$
|
Total score gained |
Total score gained during all months of participation in the contest
511 points
|
This strategy is exclusively for the USD/ZAR pair only. It uses the
Relative Momentum Index from the 1 minute time frame & Bollinger
bands
from the 10 minutes time frame. The settings for the Bollinger bands
are set to default and the RMI settings has 200 time period with 5
momentum period.
When the difference of the Bollinger bands (Upper band minus Lower
band) is at or below 0.350 but the RMI crosses above 62, then a buy
order is placed should the price be still ticking above the previous
10 seconds candle high and likewise if the RMI crosses below the 38,
then a sell position is opened. Also, when the Bollinger bands
difference is at 0.850 or higher, then the strategy checks whether
the RMI is above 68 but in a downwards trend and if it is, then
a sell position is opened and the same conditions are applied to the
RMI when it is in an uptrend but below the 32 level.
The strategy is also set to work only when the leverage is at or
above
1:100 and the spread for the USDZAR be at 115 pips or below (however
in
the first version of this strategy mistakenly the spread is set to
1150 pips).
The TP is set to 600 pips and SL at 1250 pips, however they get
readjusted based on the ongoing P/L. Basically each time a position
reaches at or above 175 pips, then the SL is moved to the +50 pips
level. Likewise, if the P/L reaches 300, then the SL is moved to
+100.
On the otherhand if P/L falls to or below -650 pips, then the TP is
moved down to +100 pips.
Nonetheless, Lot size is based on the equity level. At default it
starts with 5M volume and then is re-adjusted to 6M at 120K equity,
7M
at 150K, 8M at 185K, 9K at 205K and finally 10M volume at 245K account
balance.
Cumulative Profit/Loss dynamics
Selected period:
01.08.2021
-
31.08.2021
Classifica (points): |
|
182 (64) |
Performance, $ (points): |
|
17,99K$ (19) |
Drawdown, % (points): |
|
82.01% (9) |
Bonuses: |
|
36 |
Average Profit Trade: |
|
3,31K$ |
Average Loss Trade: |
|
-29506.6$ |
Profit factor: |
|
0,00K |
Number of trades: |
|
27 |
Traded volume: |
|
189,49M$ |