Complet irelevant pt. acest thread, dar decat sa deschid altul...yawn!
It's done!
44 de trade-uri luate dupa niste reguli simple si anume:
Long numai peste 200 SMA, short numai sub 200 SMA. Asta pe time-frame-ul pe care cauti setupul, indiferent de setup!
Higher highs si higher lows (ultimele doua) -> mergem long la primul retracement care ajunge la 200 SMA sau intram short la prima incalcare concomitenta a regulii trendului si 200 SMA,
Idem pentru revers.
Nu le-am ales eu chiar atat de perfect. Dar am avut putin 'noroc' ca in ultimele doua zile a mers struna folosind filtrul asta.
150% in doua zile cu putin abuz = tradus la ~20%-30% folosind risc minim,
44 trade-uri intre 0.3 lots si 1 lot (exagerare mare pentru un cont de 10,000, dar nah...).
Peste de 1000 pipsi.
Postez doar ca sa arat ca se poate, si doar doar se apuca cineva si chiar isi filtreaza tradeurile cumva. Nu va mai chinuiti fratilor cu prostii de indicatoare si luand toate setupurile posibile, filtratile cu niste reguli simple. Va zic doar pentru ca va vreau binele, si va urez multi bani si voua. Hai ca ma intorc la sticla mea de vodka. Eu unul am terminat bine (si drevreme) de tot saptamana asta. Noapte buna
Gross Profit: 15 083.49 Gross Loss: 0.00 Total Net Profit: 15 083.49
Profit Factor: Expected Payoff: 342.81
Absolute Drawdown: 0.00 Maximal Drawdown: 0.00 (0.00%) Relative Drawdown: 0.00% (0.00)
Total Trades: 44 Short Positions (won %): 11 (100.00%) Long Positions (won %): 33 (100.00%)
Profit Trades (% of total): 44 (100.00%) Loss trades (% of total): 0 (0.00%)
Largest profit trade: 1 330.21 loss trade: 0.00
Average profit trade: 342.81 loss trade: 0.00
Maximum consecutive wins ($): 44 (15 083.49) consecutive losses ($): 0 (0.00)
Maximal consecutive profit (count): 15 083.49 (44) consecutive loss (count): 0.00 (0)
Average consecutive wins: 44 consecutive losses: 0
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A observat Cornelius o neconcordanta intre datele postate de mine despre acest cont si contul de la concurs Vamist. Doream doar sa mentionez ca sunt doua conturi separate, nu au nici o legatura in afara de strategia folosita si performantele bune.
Un mic update:
Gross Profit: 20 120.01 Gross Loss: 0.00 Total Net Profit: 20 120.01
Profit Factor: Expected Payoff: 335.33
Absolute Drawdown: 0.00 Maximal Drawdown: 0.00 (0.00%) Relative Drawdown: 0.00% (0.00)
Total Trades: 60 Short Positions (won %): 11 (100.00%) Long Positions (won %): 49 (100.00%)
Profit Trades (% of total): 60 (100.00%) Loss trades (% of total): 0 (0.00%)
Largest profit trade: 1 330.21 loss trade: 0.00
Average profit trade: 335.33 loss trade: 0.00
Maximum consecutive wins ($): 60 (20 120.01) consecutive losses ($): 0 (0.00)
Maximal consecutive profit (count): 20 120.01 (60) consecutive loss (count): 0.00 (0)
Average consecutive wins: 60 consecutive losses: 0