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This strategy trades on 28 pairs of the major currencies with used margin equals part of the equity. It uses fast and slow moving averages and price. It opens buy position on random instrument when price bigger than slow MA and price less than fast MA, sell otherwise. It closes position when profit reaches part of the equity or after 8 hours.

Dynamique des pertes/profits cumulés

Période choisie: 01.07.2015 - 31.07.2015

Full Stats

Classements (points): 312 (36)
Performance, $ (points): 0,27K$ (0)
Drawdown, % (points): 99.76% (0)
Bonuses: 36
Average Profit Trade: 4,16K$
Average Loss Trade: -7738.2$
Facteur de profit: 0,00K
Nombre d'opérations: 75
Volumes traités: 373,63M$
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