mohamedmansor61's profilo del contest                
            
             
    
    
        
            
                                    
                
                
                    
    
        
        
            
            
                
                    
        
            | Posizione attuale | 76 | 
        
        
            | Current month's P&L, USD | 
                        
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                                Real increase of capital in the current month
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            | Max. draw-down | 
                        
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                                Max. draw-down value for the selected month. Calculation is done once per day (on settlement)
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            | Total prizes won | 
                        
                        0$
                            
                                Total prizes won during all monthsof participation in the contest
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            | Total score gained | 
                        
                        252 points
                            
                                Total score gained during all monthsof participation in the contest
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                    Strategy Name: Mansur1 V6 Instrument: AUDJPY 10 Min Chart
This Strategy uses Bollinger band and RSI indicators on 10 minutes
chart to decide the best points of entry to sell or buy. Indicator
settings.: RSI (10 Minutes & 10 Time Periods), BBands (10 Minutes, NB
Dev Up 2, Time Period 16, NB Dev Dn 2, SMA).  Sell Singnal: If RSI is
higher than 10 & Candel Above Upper Bollinger Band the sell signal is
triggered. Buy Signal: If RSI is less than 90 & Candel Low is less
than than the Bollinger Band than the Buy signal is triggered.  Target
Profit & Stop Loss: We use Average True Range (ATR) to decide the
amount of pips for the SL & TP. ATR Setting: (4Hours, 24 Timeperiod),
SL= (ATR Multiplied by 90), TP= (ATR Multiplied by 180), Position
Trailling Stop: 31 Pips
Size= (Equity Multiplied by 0.000027 Type Double)                
             
            
                
    
    
                
                
                    
                        Cumulative Profit/Loss dynamics
                        
                            Selected period:
                            
                                01.05.2019                            
                            - 
                                31.05.2019                            
                        
                        
                        
                        
                            
    
        
            | Classifica (points): |  | 184 (73) | 
        
            | Performance, $ (points): |  | 97,11K$ (0) | 
        
            | Drawdown, % (points): |  | 26.84% (37) | 
        
            | Bonuses: |  | 36 | 
        
            | Average Profit Trade: |  | 11,09K$ | 
        
            | Average Loss Trade: |  | -6211.55$ | 
        
            | Profit factor: |  | 0,00K | 
        
            | Number of trades: |  | 17 | 
        
            | Traded volume: |  | 59,08M$ |