Sep20 (ver. 2) Running

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In this strategy, I'm using 2 indicators: EMA and Stochastic. I trade EUR/JPY on 10 minutes time frame with amount trade 5M, slippage 3 pips, stop loss 9 pips, take profit 5 pips. For EMA, I'm using period = 28 in a 10 minutes time period to know if the instrument is oversold or overbought in shorter time period. For Stochastic, I'm using fast %K period = 5, slow %K period = 3, slow %K MAType = SMA and slow %D period = 3 in a 10 minutes time period to confirm what trend is going to be in a shorter time period. Opens sell positions if last bid candle close below EMA, Stochastic Slowd > 80 and last bid candle open is less than last bid candle close. Opens buy positions if last bid candle close above EMA, Stochastic Slowd < 20 and last bid candle open is greater than last bid candle close. I trade five pairs: GBP/JPY, GBP/NZD, GBP/AUD, GBP/CHF, GBP/CAD on 30 minutes time frame with amount trade 1.5M, slippage 3 pips, stop loss 20 pips, take profit 60 pips. For EMA, I'm using period = 28 in a 30 minutes time period to know if the instrument is oversold or overbought. For Stochastic, I'm using fast %K period = 5, slow %K period = 3, slow %K MAType = SMA and slow %D period = 3 in a 30 minutes time period to confirm what trend is going to be. Opens sell positions if last bid candle close below EMA, Stochastic Slowd > 80 and last bid candle open is less than last bid candle close. Opens buy positions if last bid candle close above EMA, Stochastic Slowd < 20 and last bid candle open is greater than last bid candle close

Cumulative Profit/Loss dynamics

Selected period: 01.09.2020 - 30.09.2020

Full Stats

Standings (points): 35 (241)
Performance, $ (points): 130,23K$ (162)
Drawdown, % (points): 11.34% (44)
Bonuses: 35
Average Profit Trade: 5,06K$
Average Loss Trade: -3384.07$
Profit factor: 0,00K
Number of trades: 29
Traded volume: 234,16M$
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