Perfil de concurso DTrader123's
Lugar actual |
112
|
Este mes P&G ($) |
Aumento real de capital en el Concurso del Trader, este mes
-
|
Max. draw-down |
Max. draw-down value for the selected month. Calculation is done once per day (on settlement)
-
|
Total en premios ganados, $ |
Total de premios ganados durante todos los meses de la participación en el concurso
10 550$
|
Puntuación total obtenida |
Puntuación total obtenida durante todo todos los meses de la participación en el concurso
2620 puntos
|
This strategy aims to capture a trend and enter positions on
pullbacks. The direction of the trend is determined based on the
exponential moving average (EMA) and the expected depth of the
pullback using the Stochastic indicator.
To determine the trend, I use the EMA indicator because it smooths the
price movement, eliminates local fluctuations, and places the greatest
weight on the most recent data. The Stochastic indicator is a momentum
oscillator that shows overbought (values above 80) and oversold
(values below 20) conditions.
When the trend is upward (EMA is rising), the strategy buys in
oversold areas. Conversely, when the trend is downward (EMA is
falling), it sells in overbought areas.
I tested various settings and found that, statistically, over a
one-month period, opening more than 20 positions (about 20-50) on a
15-minute timeframe is optimal. Further testing shows that an EMA
period of 90 and Stochastic settings of 5, 3, 3 yield good results. Of
course, this depends on liquidity and market conditions. The maximum
stop loss is 155 pips, and the take profit is 40 pips, but the
strategy adjusts open positions according to the Stochastic indicator
and may close them earlier when the Stochastic reaches overbought (for
long positions) or oversold (for short positions) areas.
The strategy uses a constant trade volume 6M.
Ganan/Pérd dinámicas acumuladas
Periodo seleccionado:
01.10.2024
-
31.10.2024
Posiciones (puntos): |
|
117 (122) |
Desempeño, $ (puntos): |
|
6,43K$ (84) |
Drawdown, % (puntos): |
|
95.3% (2) |
Bonuses: |
|
36 |
Average Profit Trade: |
|
2,75K$ |
Average Loss Trade: |
|
-14541.62$ |
Factor de Beneficio: |
|
0,00K |
Número de operaciones: |
|
24 |
Volumen negociado: |
|
136,88M$ |