Pawel27STY (ver. 4) Running

Default image
Instument - EURUSD. Time frame – H1. StopLoss - 130 pips. TakeProfit - 4 pips. TradeAmount - 12 mil. I don't use indicators in my strategy. Open hours: 3, 6, 13, 15 - last tick H1. On friday, to avoid of lower leverage for weekends, orders are created 3:00 am and 6:00 am. Spread < 2 pips. Trading Logic: I use data (open, close) of historical candle H1 and H4. SELL ORDER: When the last candle H4 is bearish and open H1 (shift 3) < close H1(current). BUY ORDER: When the last candle H4 is bullish and open H1 (shift 3) > close H1 (current).

Cumulative Profit/Loss dynamics

Selected period: 01.05.2024 - 31.05.2024

Full Stats

Standings (points): 6 (276)
Performance, $ (points): 143,89K$ (193)
Drawdown, % (points): 5.19% (47)
Bonuses: 36
Average Profit Trade: 4,18K$
Average Loss Trade: 0$
Profit factor: 4,18K
Number of trades: 12
Traded volume: 295,84M$
orto leave comments

Contest Feed