pinky's profilo del contest
Posizione attuale |
108
|
Current month's P&L, USD |
Real increase of capital in the current month
-
|
Max. draw-down |
Max. draw-down value for the selected month. Calculation is done once per day (on settlement)
-
|
Total prizes won |
Total prizes won during all months of participation in the contest
10 250$
|
Total score gained |
Total score gained during all months of participation in the contest
3016 points
|
This strategy uses a combination of Volume Weighted Average Price
(VolumeWAP), Directional Movement Index (DMI), and price action to
identify potential buy and sell signals in the GBPUSD pair. TimeFrame
is One hour, Indicators: VolumeWAP (10 shift, 1 and 0 lines): This
indicator highlights areas where price is above or below the
volume-weighted average price, suggesting potential overbought or
oversold zones. DMI (13): This indicator consists of two lines, the
Average Directional Index (ADX) and the Directional Movement (DI)
lines (+DI and -DI). ADX measures trend strength, while DI lines show
the direction of the trend. Buy Signal: Price Action: The price of
GBPUSD must be above the VolumeWAP (1 and 0 lines). DMI: ADX: The ADX
value should be ascending and preferably above 21, indicating a strong
trend. +DI: The +DI line should be above the -DI line, and both should
be rising from oversold territory (below 21). This suggests a
potential bullish trend. Sell Signal: Price Action: The price of
GBPUSD must be below the VolumeWAP (1 and 0 lines). DMI: ADX: The ADX
value should be ascending and preferably above 21, indicating a strong
trend. -DI: The -DI line should be above the +DI line, and both should
be rising from oversold territory (below 21). This suggests a
potential bearish trend. Position Sizing and Risk Management: Position
Size: The strategy suggests a position size of 5M (it's recommended to
adjust this based on your account size and risk tolerance). Stop Loss:
300 pips below the entry price for long positions and 300 pips above
the entry price for short positions. Take Profit: Take profit at 10
pips.
Cumulative Profit/Loss dynamics
Selected period:
01.11.2024
-
30.11.2024
Classifica (points): |
|
104 (139) |
Performance, $ (points): |
|
21,79K$ (99) |
Drawdown, % (points): |
|
89.49% (5) |
Bonuses: |
|
35 |
Average Profit Trade: |
|
3,25K$ |
Average Loss Trade: |
|
-58763.73$ |
Profit factor: |
|
0,00K |
Number of trades: |
|
15 |
Traded volume: |
|
174,92M$ |