anderspirlo's Perfil no concurso
Local atual |
194
|
P&L($) Deste mês |
Aumento real de capital no Concurso de Negociação, este mês
-
|
Máx. levantamento |
Máx. valor de levantamento para o período selecionado. Cálculo realizado uma vez por dia (fecho)
-
|
Total de prémios ganhos |
Total de prémios ganhos durante todos os meses de participação no concurso
3 000$
|
Total de pontuação ganho |
Pontuação total ganha durante todos os meses de participação no concurso
531 pontos
|
The strategy pair is EUR/USD. The most liquid Pair in the world. It
is
trend following pattern on EMA(Exponential moving average) mainly. On
EMA 8 period(Fast EMA) above EMA 21 period(slow EMA) it buys and on
below it sells on 4 hourly period. It uses SMA Trend Indicator(50
periods) and Bollinger Band Indicators(30 periods) on hourly period.
Bollinger band input is DEMA instead of simple moving average. DEMA
is
more responsive to trading than simple moving average. Primary trend
is EMA 8 above EMA 21 or below. Secondary trend is SMA Trend
Indicator. On each Bar it checks for secondary trend but on each
closed trade the strategy opens another Trade even for primary trend.
4 hour EMA trend is lasting trend and it does not change in hourly
basis.
This is reason for this setting. If on bar, SMA trend Indicator shows
that last trade was against the seconday trend then trending against
the SMA Trend indicator is not allowed and it further waits for
primary trend and secondary trend conditions to be met. If Trading
against the seconday trend is not allowed then the strategy uses
bollinger band indicator but only during active market hours 7:00 to
22:00 and if primary trend is present. The startegy manages the trade
volume based on equity. It starts with 2.5 lots for equals to or
below
100k, 3.5 lots for above 100k to 150k, 4.5 lots for above 150 to
175,
6.5 lots for above 175k to 200k and above 200k it opens positions of
8.5 lots. TP for strategy is 15 pips and stop loss is 181 pips. The
code is optimised keeping contest in mind.
Dinâmica acumulados Lucro/Perdas
Seleccionar período:
01.07.2016
-
31.07.2016
Classificação (pontos): |
|
204 (71) |
Desempenho, $ (pontos): |
|
80,40K$ (0) |
Drawdown, % (pontos): |
|
29.37% (35) |
Bonuses: |
|
36 |
Average Profit Trade: |
|
4,93K$ |
Average Loss Trade: |
|
-18935.5$ |
Factor de perfil: |
|
0,00K |
Número de trades: |
|
6 |
Volumes negociados: |
|
42,66M$ |