The strategy is composit of two substrategies: the 1st is the default
instrument for EUR/USD, 1 min timeframe, tp=6, trade amount = 50
lots,
and uses multiple indicators whith multiple timeframes (STOCH, RSI,
SMA, ADX, and CCI). The 2nd strategy is for GBP/JPY, 15 min
timeframe,
tp=8, trade amount varies depending on equity( starting from 2 lot
for
equity< 120K, then it raises up by 0.5 lot every 20K of equity), and
uses multiple indicators whith multiple timeframes (EMA, MACD, ADX,
STOCH).