ultrasystem (ver. 2) Running

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ultrasystem determine trades using Sma , Ema , Ichimokuvf , Macdext, Bbands , Macd, CCI , Stoch and Rsi indicator. The strategy implement different trading tactics with Eur usd currency on 1 minutes time frame from tuesday till friday The Strategy enter Short trade position when sma 300 cross above sma 50 , Macdhistogram == 0.00005 and Last bid candle close above Middle Band , close and cancel Short or long trade if last bid candle close above or below lower band or upper band with Trade amount 7m , take profit 10pips and stop loss 50pips Strategy enter Short trade position when Sma 300 cross above Ema 70 , Tenkan 9 < Kijun 400 , Sma 50 > Ema 20 , Macdhistogram =< -0.00005 and enter Long Trade position when Sma 300 cross below Ema 70 , Tenkan 9 > Kijun 400 , Sma 50 < Ema 20 , Macdhistogram >= 0.00005, close and cancel Long or short trade if last bid candle close above or below lower band or upper band with Trade amount 7m , take profit 15pips , stop loss 50pips and 10pips trailing stop. Strategy enter Long trade position when Last bid candle open below Middle band and close above middle band , Cci > 150 , Rsi > = 70 , Macdhistogram >= 0.00005 and enter Short trade position when Last bid candle open above Middle band and close below middle band , Cci < -150 , Rsi =< 30 , Macdhistogram =< -0.00005 . close and cancel short or long trade if last bid candle close above or below lower band or upper band with Trade amount 7m , take profit 25pips , stop loss 50pips and 15pips trailing stop. Strategy enter Long trade position when slow %k and slow %D >= 90 , Cci >=250 , Rsi >= 70 , and enter short trade position when slow %k and slow %D =< 10 , Cci =< -250 , Rsi =< 30 . close and cancel Long or short trade position if last bid candle close above or below lower band or upper band with Trade amount 7m ,take profit 10pips and stoploss 350pips

Cumulative Profit/Loss dynamics

Selected period: 01.01.2020 - 31.01.2020

Full Stats

Standings (points): 60 (215)
Performance, $ (points): 111,80K$ (148)
Drawdown, % (points): 38.6% (31)
Bonuses: 36
Average Profit Trade: 6,28K$
Average Loss Trade: -15362.69$
Profit factor: 0,00K
Number of trades: 17
Traded volume: 320,88M$
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