Taxista's Wettbewerbsprofil
Aktuelle Ort |
232
|
G&V ($) dieses Monats |
Tatsächlicher Kapitalgewinn im Trader Wettbewerb, diesen Monat
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|
Max. Abzugswert |
Max. Abzugswert für den ausgewählten Monat. Die Berechnung wird einmal pro Tag durchgeführt (bei Tagesabschluss)
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Gesamte gewonnene Preise |
Gesamte Anzahl an gewonnenen Preisen in allen Monaten der Wettbewerbsteilnahme
800$
|
Gesamtpunkte Anzahl |
Gesamtpunkte während aller Monate der Wettbewerbsteilnahme
703 Punkte
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ES210 strategy is very simple strategy, the free strategy, by means
of
action this is called cross strategy.
This strategy works with a simple moving average SMA, is set on the
way to sense movement using IIndicators.MaType.
One MaType indiktor that we set is fastMAPeriod = 5 he is pretty
quick
movable move, while slowMAPeriod = 64 lot slower movable move that
was
crossing with the first touch point in the envelope during the
movement of the market, open working order.
Codes 5 and 64 can be changed, which can significantly affect the
frequent activity strategy during movement of the market.
In fastMAPeriod 5 a figure higher than the 5 to strategies will
slowly
open position, here is number five in fact the number of candles that
must occur during the activity of the market, after perpetrated 5
candle strategy is reading overlap with slowMAPeriod 64, and then
comes to the activation or then the strategy throws order.
This strategy works with SMA indicator and is only compatible with
SMA
shells which are set in the sense that they are touching or crossing
and thereby recognize momentat for throwing.
The strategy works in active mode or with a 5 minute timeframe, only
5
minutes to 15 minutes time frame settings strategy is able to make a
minimum of 20 positions on a remote server, can such a currency pair
to use any of your choice, but it is more effective with something
more active currency pairs such as the GBP and EUR.
Top set TP between 12-30 pips, SL set up at its own discretion in the
ranges of 60-180 pips.Best use volume trading with as little risk, in
my case I'm practicing volume of 3-8mil. $ per one position for
competition.
Zusammengefasste Gewinn/Verlust Dynamik
Ausgewählter Zeitraum:
01.12.2016
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31.12.2016
Stände (Punkte): |
|
395 (38) |
Performance, $ (Punkte): |
|
5,00K$ (0) |
Drawdown, % (Punkte): |
|
96.53% (2) |
Bonuses: |
|
36 |
Average Profit Trade: |
|
9,58K$ |
Average Loss Trade: |
|
-24883.88$ |
Profit Faktor: |
|
0,00K |
Anzahl der Trades: |
|
23 |
Gehandeltes Volumen: |
|
248,39M$ |