Strategy work in EUR/USD pair. It uses RSI - Relative Strenght Index
and Martingale principle. Situation in the market is checked every 5
min. and if RSI is less than 30 LONG trade is opened and symetrically
if RSI is more than 70 SHORT trade is openeded.
Firstly initial trade is set to 0.125M. Later if situation improves
and equity reaches 105K initial trade volume is set to 0.25M. If
situation improves further and equity reaches 110K initial trade
volume is set to 0.5M. After each unsuccessful trade volume is
increased by 1.33. After successful trade volume is reset to initial
value.
Additionally strategy do not work from 21 GMT to 00 GMT in order to
exclude trading during low liquidity when spread widens.