Profil konkursowy AdamFx42
Obecna pozycja |
50
|
Z/S ($) miesiąca |
Realny wzrost kapitału w Konkursie Traderów w tym miesiącu
-
|
Max. draw-down |
Max. draw-down value for the selected month. Calculation is done once per day (on settlement)
-
|
Łącznie wygrane nagrody $ |
Łączna pula nagród wygrana w ciągu wszystkich miesięcy uczestnictwa w konkursie
11 050$
|
Uzyskane punkty |
Suma punktów zdobytych podczas wszystkich miesięcy udziału w konkursie
4945 punkty
|
EurUsdcountertrend_v18 is a candle close strategy, which trades only
the EurUsd pair based on buying when the maket is bearish and selling
when the market is bullish - making use
of retracement. It trades on a 1 minute chart. For this I use the
indicators: fibonacci pivot points - set to 1 hour, and RSI_14, set
to
4hour. The market is deemed bullish when the price is above pivot
Resistance1 (below Resistance3 - because a break above pivot
resistance 3 may make the market overly bullish and retracement may
not happen - I backtested this)) in a 1 hour period and RSI_14 is
above 60 in a 4 hour period - it sells when a 1 minute candle closes
between
Fib pivot Resistance 1 and fib pivot Resistance 3 on an hourly chart
and RSI_14 is above 60 on a 4hr chart. Vice versa it will buy when a
1
minute candle closes between fib pivot Support1 and Support3 (below
pivot support 3 may be overly bearish and retracement may not happen
-
I backtested this) on an
hourly chart, and RSI_14 is below 40 on a 4hr chart. SL is 142 pips
because the area wherein the trade is activated has a variable range
based on where pivot and resistace/support levels are due to previous
price action. TP is only 5 pips because it trades against the market
direction and I want to catch small retracement only, also smaller
trades makes it possible for the strategy to shift from bearish to
bullish market on time without getting stuck in a single trade. Lot
size increases with every trade because I set max lot size at 25
milion and maximum equity is used on each trade to fully profit from
the small trades. The strategy opens about 30-40 positions a month
based on backtesting.
Kumulatywne Zysk/Strata
Wybrany okres:
01.06.2024
-
30.06.2024
Ranking (punkty): |
|
39 (245) |
Wydajność, $ (punkty): |
|
103,99K$ (160) |
Drawdown, % (punkty): |
|
0% (50) |
Bonuses: |
|
35 |
Average Profit Trade: |
|
4,34K$ |
Average Loss Trade: |
|
0$ |
Faktor zysku: |
|
4,34K |
Liczba pozycji: |
|
1 |
Obrócony wolumen: |
|
61,83M$ |