PrinceChoco's Perfil no concurso                
            
             
    
    
        
            
                                    
                
                
                    
    
        
        
            
            
                
                    
        
            | Local atual | 79 | 
        
        
            | P&L($) Deste mês | 
                        
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                                Aumento real de capital no Concurso de Negociação, este mês
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            | Máx. levantamento | 
                        
                        -
                            
                                Máx. valor de levantamento para o período selecionado. Cálculo realizado uma vez por dia (fecho)     
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            | Total de prémios ganhos | 
                        
                        3 500$
                            
                                Total de prémios ganhos durante todos os meses de participação no concurso
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            | Total de pontuação ganho | 
                        
                        1049 pontos
                            
                                Pontuação total  ganha durante todos os mesesde participação no concurso
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                    The strategy is based simply and only on one SAR indicator
(with Acceleration of 0.02 and Maximum at 0.2, with 10 minuts period).
The strategy computing period is every 10 minuts.
It first test the current spread to not trade when it's too high.
First, the strategy still waiting for the SAR changing of direction,
so when the Ask is higher than SAR, the pair is going up, and if the
Ask is lower than SAR, the pair is going down.
After the first direction checking, the strategy will check the
direction change, and open a position on the new direction.
So if the previous direction was UP, and the SAR change direction to
DOWN (Ask lower than SAR), it opens a new position DOWN.
And if the previous direction was DOWN, and the SAR change direction
to UP (Ask higher than SAR), it opens a new position UP.
The position is openned only if there is no allready openned position
on the account.
I choose the EUR/USD pair because I know it well, the spread is low,
and it's enough volatile to have more than 20 changes of direction by
month.
I use a big volume of 10M to be sure than I can make high benefit on a
month.
The stop loss and the take profit have been selected by improving the
strategy on JForex (after export from JForexVisual to JForexJava).
I used the historical tester on JForex to optimize my choice of stop
loss and take profit.
Here a link to my last 2nd win :
https://www.dukascopy.com/fxcomm/blog/?action=post-show&post_id=215344                
             
            
                
    
    
                
                
                    
                        Dinâmica acumulados Lucro/Perdas
                        
                            Seleccionar período:
                            
                                01.05.2020                            
                            - 
                                31.05.2020                            
                        
                        
                        
                        
                            
    
        
            | Classificação (pontos): |  | 139 (123) | 
        
            | Desempenho, $ (pontos): |  | 76,30K$ (53) | 
        
            | Drawdown, % (pontos): |  | 32.76% (34) | 
        
            | Bonuses: |  | 36 | 
        
            | Average Profit Trade: |  | 12,39K$ | 
        
            | Average Loss Trade: |  | -13742.28$ | 
        
            | Factor de perfil: |  | 0,00K | 
        
            | Número de trades: |  | 11 | 
        
            | Volumes negociados: |  | 185,78M$ |