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I have a simple VISUAL JFOREX strategy without indicators, take profit and stop loss. My Strategy's Time Frame is Hourly. Trading Pairs is GBPUSD. Trade amount 5 million, slippage 5. When the price Close the below of last two bar's Close or below the open price and last day spread should be bigger than second last day, if it find this condition Enter LONG. For the inverse situation when the price Close the above of last two bar's Close or above the open price and last day spread should be bigger than second last day, if it find this condition Enter SHORT. My Exit position is without a take profit and stop loss.

Cumulative Profit/Loss dynamics

Selected period: 01.12.2015 - 31.12.2015

Full Stats

Classifica (points): 316 (48)
Performance, $ (points): 6,48K$ (0)
Drawdown, % (points): 96.4% (2)
Bonuses: 46
Average Profit Trade: 2,97K$
Average Loss Trade: -7085.98$
Profit factor: 0,00K
Number of trades: 111
Traded volume: 708,91M$
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