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My strategy is based on the camarela everyday & pivot points studies.
I usually open 1 lot only, and I never open 3 lots with the same pair.
My strategy is revised and now is more stable than before.
My weekly target is 100 pips +/- which is 10% per week.
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Jan |
Feb |
Mar |
Apr |
May |
Jun |
Jul |
Aug |
Sep |
Oct |
Nov |
Dec |
| 2010 |
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+37% |
-41.5% |
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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 $
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| Strategy Name |
NightStrategy |
Date Started |
2010-04-05 |
Number of weeks |
5 |
Max concurrent lots |
3 |
Max drawdown for 1 lot |
300 (pips) |
Min account amount |
$ 1000 |
| Max drawdown for full amount |
60 % |
78.2% |
| Trading currencies |
EUR/USD, USD/JPY, GBP/USD, USD/CAD, EUR/GBP, EUR/JPY, GBP/JPY
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Pips |
$ |
| Total |
-34 pips
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-$34.03 |
| Total profitability |
-4.54
%
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| Trades |
19 |
| Profitable Trades |
15 |
| Loss Trades |
4 |
| Win ratio |
78 % |
| Maximum account level |
+339 pips |
+$1358.5 |
| Minimum account level |
-212 pips |
+$771.95 |
| Max loss |
-551 pips |
-$586.55 |
| Max loss (%) |
78.20% since 2010-05-05 to 2010-05-08
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