My strategy based on EWA market analysis.
For opening and closing position with a high accuracy I developed two indicators.
Minimum account for working by my strategy 500$, for mini forex trading (by clause 50$ margin per lot 10000). for normal forex 5000$ (by clause 500$ margin per lot 100000).
Maximum number of concurrent lots: 2 (or less).
Stop loss for each position: 50 pips.
Average profit per month for my strategy: 350-700 pips.
Spread:
GBPUSD - 3, EURUSD - 2, USDJPY - 3, USDCHF - 4, GBPJPY - 7, AUDUSD - 3, USDCAD - 4, EURJPY - 3, EURGBP - 2, GBPCHF - 7, NZDUSD - 4, CHFJPY - 4, AUDJPY - 5, NZDJPY - 5.
Strategy update 17.06.2007
Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec
2006
+13.1%
+83.2%
2007
+139%
+24.9%
+30.7%
+1.8%
+24.1%
+36.6%
-4.7%
+5.5%
+5.4%
+9.9%
+2.3%
+43.6%
2008
-4.8%
+50.4%
+29.5%
+1.4%
-4.8%
-13.3%
+2%
+7.8%
+0.5%
-4.2%
+11%
-25.9%
2009
+3.8%
+2.8%
-13.4%
-4.2%
-3.2%
-5.7%
-1.8%
-4.8%
+7.1%
function drawChartD() {
var data = new google.visualization.DataTable();
data.addColumn('date', 'Date');
data.addColumn('number', '$');
data.addColumn('string', 'title1');
data.addColumn('string', 'text1');
data.addRows([[new Date(, ,), , undefined, undefined]]);
var chart = new google.visualization.AnnotatedTimeLine(document.getElementById('chart_div'));
chart.draw(data, {displayAnnotations:true,allValuesSuffix:' $'});
}
Pips $
Strategy Name
Boeder
Date Started
2006-11-27
Number of weeks
152
Max concurrent lots
3
Max drawdown for 1 lot
50 (pips)
Min account amount
$ 1200
Max drawdown for full amount
50 %
OK
Trading currencies
EUR/USD, USD/JPY, GBP/USD, USD/CHF, EUR/CHF, AUD/USD, USD/CAD, NZD/USD, EUR/GBP, EUR/JPY, GBP/JPY, CHF/JPY, GBP/CHF, NZD/JPY, AUD/JPY, EUR/AUD, AUD/CAD, CAD/JPY
Pips
$
Total
+5309 pips
-$231.31
Total profitability
-19.28
%
Trades
398
Profitable Trades
308
Loss Trades
90
Win ratio
77 %
Maximum account level
+5963 pips
+$1389.06
Minimum account level
+3 pips
+$882.39
Max loss
-559 pips
-$506.67
Max loss (%)
42.20%since 2009-03-12 to 2009-08-29