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This strategy is based on a simple principle.Trading Pairs is GBP/USD I use 10 minutes timeframe if position is closed with profit, next LONG or SHORT positions are opened in rotation and if position is closed with loss, next position is opened with the same direction as previous position.SMA shift 0 defaultInstrument GBP/USD defaultPeriod 5 MINTS OfferSide.ASK 1 LastAskCandle = new Candle askBar defaultPeriod 10 defaultInstrument OfferSide.ASK LastBidCandle new Candle bidBar defaultPeriod 30 defaultInstrument OfferSide.BID if indicators.getIndicator("SMA") == null. Position amount is 5M, SL limet - 30 pips, TP porfir - 40 pips.

Cumulative Profit/Loss dynamics

Selected period: 01.08.2020 - 31.08.2020

Full Stats

Standings (points): 35 (237)
Performance, $ (points): 140,39K$ (171)
Drawdown, % (points): 39.83% (30)
Bonuses: 36
Average Profit Trade: 13,54K$
Average Loss Trade: -15767.65$
Profit factor: 0,00K
Number of trades: 34
Traded volume: 386,09M$
fxfiber avatar
fxfiber 13 May

i want to talk with you

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