Perfil de concurso rokasltu's
Lugar actual |
2
|
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
15 950$
|
Puntuación total obtenida |
Puntuación total obtenida durante todo todos los meses de la participación en el concurso
6064 puntos
|
Strategy works in EUR/USD pair and uses Stochastic indicators for
determination of trade direction. Alongside with mentioned indicators
strategy manipulates with position amount, TP and SL values and has
periods of inactivity. Besides there is check of spread implemented
and position is opened only if spread is 0,5 pips or better.
Detailed description: situation in market for position opening is
checked every 5 min (excluding periods of strategy inactivity).
Stochastic fast and Stochastic indicators values are measured. If
stochastic fast value is greater more than 1 point - long position is
opened and if stochastic values is greater than 1 point - short
position is opened. Initial amount value is 0,7M, SL value is 20
pips, TP value is 8 pips. If position is closed in profit strategy
inactivity period is activated until present 4 hour candle will be
closed. If position is closed in loss - next position amount is
increased by 1.44 (additional check with maximum amount value is done
and if
this value is exceeded - position amount is lowered till maximum
allowed value, initial maximum amount value is 7M), TP is increased
by
10 pips and SL is increased by 4 pips. Additionally strategy
inactivity is activated until price will move 10 pips (checked every
minute) in the same direction as SL was triggered. Mentioned
manipulations is done
in order for present position to cover loss of all previous positions
(until maximum allowed value is reached). Then position with changed
amount, TP and SL is closed in profit next position parameters are
set
to initial values. Initial values are also adjusted according to
situation with account equity. Initial values subject to adjustment
are initial position amount and initial maximum amount. If equity
passes 105000 - initial amount is set to 1,0M and maximum amount is
set to 7,5M and if equity passes 110000 - initial amount is set to
1,3M and maximum amount is set to 8M and if equity passes 115000
initial amount is set to 1,6M and maximum amount is set to 8.5M. and
120000 - 1,9 M. There
is also additional check in order to avoid different situations when
SL or TP might not be set, in such a case position is closed if it
exceeds
minus or plus 80 pips. (checked every 4 hours)
Ganan/Pérd dinámicas acumuladas
Periodo seleccionado:
01.11.2024
-
30.11.2024
Posiciones (puntos): |
|
3 (271) |
Desempeño, $ (puntos): |
|
163,31K$ (198) |
Drawdown, % (puntos): |
|
23.84% (38) |
Bonuses: |
|
35 |
Average Profit Trade: |
|
2,21K$ |
Average Loss Trade: |
|
-4523.03$ |
Factor de Beneficio: |
|
0,00K |
Número de operaciones: |
|
83 |
Volumen negociado: |
|
327,25M$ |