ppedro's profilo del contest
Posizione attuale |
64
|
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
723 points
|
My strategy is very simple based in only two well-known indicators,
witch are the Moving Averages and the Bollinger Bands.
This strategy negociates only the EUR-USD pair in an ONE minute
Period.
The Moving Averages are 3 Simple Averages, that are being used with a
period of 16 , 18 and 20 each respectively. The Bollinger Bands
employ
a period of 10 to with deviation of 1, and uses only the center line.
The TP is a short, 7.5 pips, as the strategy uses an one minute
period, and the SL is 250 pips.
These parameters were adjusted after several tests for one year .
To BUY, this strategy must meet the following conditions :
- The closing price of the last candle has to be below the middle
band
of BB
- The opening price of the last candle has to be above the middle
band
of BB
- The closing price of the last candle has to be lower than the SMA
-16
- The closing price of the last candle has to be higher than the SMA
-18
- The closing price of the last candle has to be higher than the SMA
-
20
To SELL, this strategy must meet the following conditions :
- The closing price of the last candle has to be above the middle
band
of BB
- The opening price of the last candle has to be below the middle
band
of BB
- The closing price of the last candle has to be higher than the SMA
-16
- The closing price of the last candle has to be lower than the SMA
-18
- The closing price of the last candle has to be lower than the SMA -
20
The next step is to optimize the strategy to try to reduce the
drawdown that was 12 % in December and this month is 18.5 %. The SL
must also be reduced by at least 50 pips.
Cumulative Profit/Loss dynamics
Selected period:
01.10.2014
-
31.10.2014
Classifica (points): |
|
126 (94) |
Performance, $ (points): |
|
70,35K$ (50) |
Drawdown, % (points): |
|
83.01% (8) |
Bonuses: |
|
36 |
Average Profit Trade: |
|
2,80K$ |
Average Loss Trade: |
|
-50031.49$ |
Profit factor: |
|
0,00K |
Number of trades: |
|
69 |
Traded volume: |
|
694,47M$ |