darkvothe's profilo del contest
Posizione attuale |
28
|
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
1 000$
|
Total score gained |
Total score gained during all months of participation in the contest
276 points
|
Trading logic: Checks hourly the position of SMA (n=3) and SMA
(n=20).
The strategy open a position when SMA3 crosses SMA20 only if MACD
confirms that tendency. If the position is long, it will be closed
when a short signal is detected (and will open a shot position) and
viceversa. This strategy intends to trade with the trend (at least it
tries, but we know markets behave randomly).
- Description of indicators: SMA3 is a fast indicator of tendency. If
SMA3 is higher than SMA20 at a certain candle and it was lower than
SMA20 at the previous one, we can detect it as a change of tendency
(now it will go up!)
and it might be the right moment to jump into the trend. Same happens
if we detect the opposite signal, it might be time to close our
position and open a contrary one. Fiability increases by confirming
every change of trend detected with MACD
Chosen settings: Operates on EUR/USD, there is no explanation for
this
election, any pair should work the same good (or the same bad). Time
selected is hourly, since we want to have at least 20 trades by the
end of the month but we don't want to have infinite nomber of trades
(spread comission will make us lose consistently by the end of the
month). No TP, No SL, has been set: the strategy already has an
inteligent system to close the trades (This is optimistic to say).
Volume: The strategy trades a fix volume of 7 lots. This implies a
very high risk, but in back testing it proved to be able to win the
contest in serveral months: it may be the same in the future. Chances
of loosing everything with this strategy is hight, however chance of
being between the 10 first position always exists.
Cumulative Profit/Loss dynamics
Selected period:
01.03.2017
-
31.03.2017
Classifica (points): |
|
22 (253) |
Performance, $ (points): |
|
232,02K$ (192) |
Drawdown, % (points): |
|
70.16% (15) |
Bonuses: |
|
46 |
Average Profit Trade: |
|
30,62K$ |
Average Loss Trade: |
|
-17417.99$ |
Profit factor: |
|
0,00K |
Number of trades: |
|
17 |
Traded volume: |
|
289,02M$ |