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My strategy is based on the theory 'Trading Chaos' of Bill Williams and 'Profitunity Trading Group'

In MetaTrader - 4, i have achieved display of all indicators, including to show of bars on colours (red, grey, green) of trade zones, all indicators are executed according to trading computer programm ' Investor Dream '.

Maximum quantity lots - 5, that makes about 20 % from the capital and reduces risk of losses of money, but the complete input in the market occurs only at presence of reliable signals from the market.
2 kinds of trade are used:
1. Trade on break fractals, with addition lots according to signals Profitunity.
2. Trade in returning of the prices at presence divergence on indicators MACD, AO and AC, with construction of the circuit of addition of quantity lots.

Also sometimes I use ' the positive lock ', that is opening of an opposite position at presence of the profit on previous.

The output from the market occurs according to signals Profitunity.

Best Regards.

Strategy

Pips $ %
2009-12-07 - 2009-12-11 +0 +$0 +%
2009-11-30 - 2009-12-04 +0 +$0 +%
2009-11-23 - 2009-11-27 +0 +$0 +%
2009-11-16 - 2009-11-20 +0 +$0 +%
2009-11-09 - 2009-11-13 +0 +$0 +%
2009-11-02 - 2009-11-06 +0 +$0 +%
2009-10-26 - 2009-10-30 +0 +$0 +%
2009-10-19 - 2009-10-23 +0 +$0 +%
2009-10-12 - 2009-10-16 +0 +$0 +%
2009-10-05 - 2009-10-09 +0 +$0 +%
2009-09-28 - 2009-10-02 +0 +$0 +%
2009-09-21 - 2009-09-25 +0 +$0 +%
2009-09-14 - 2009-09-18 +0 +$0 +%
2009-09-07 - 2009-09-11 +0 +$0 +%
2009-08-31 - 2009-09-04 +0 +$0 +%
2009-08-24 - 2009-08-28 +0 +$0 +%
2009-08-17 - 2009-08-21 +0 +$0 +%
2009-08-10 - 2009-08-14 +0 +$0 +%
2009-08-03 - 2009-08-07 +0 +$0 +%
2009-07-27 - 2009-07-31 +0 +$0 +%
2009-07-20 - 2009-07-24 +0 +$0 +%
2009-07-13 - 2009-07-17 +0 +$0 +%
2009-07-06 - 2009-07-10 +0 +$0 +%
2009-06-29 - 2009-07-03 +0 +$0 +%
2009-06-22 - 2009-06-26 +0 +$0 +%
2009-06-15 - 2009-06-19 +0 +$0 +%
2009-06-08 - 2009-06-12 +0 +$0 +%
2009-06-01 - 2009-06-05 -2185 -$2185 -72.83%
2009-05-25 - 2009-05-29 -485 -$489.85 -16.32%
2009-05-18 - 2009-05-22 -222 -$237.01 -7.9%
2009-05-11 - 2009-05-15 -224 -$224.18 -7.47%
2009-05-04 - 2009-05-08 -412 -$410.68 -13.68%
2009-04-27 - 2009-05-01 -1447 -$1445.27 -48.17%
2009-04-20 - 2009-04-24 -571 -$564.05 -18.8%
2009-04-13 - 2009-04-17 -72 -$72.61 -2.42%
2009-04-06 - 2009-04-10 +151 +$150.67 +5.02%
2009-03-30 - 2009-04-03 +322 +$322 +10.73%
2009-03-23 - 2009-03-27 +226 +$229.81 +7.66%
2009-03-16 - 2009-03-20 +319 +$319 +10.63%
Strategy Name FACTOR
Max concurrent lots 5
Max drawdown for 1 lot 150 (pips)
Min account amount $ 3000
Max drawdown for full amount 50 % 197.7%
Trading currencies EUR/USD, USD/JPY, GBP/USD, USD/CHF, EUR/CHF, AUD/USD, USD/CAD, NZD/USD
Pips $
Date Started 2009-03-16
Number of weeks 12
Total -4600 pips -$4607.17
Total profitability -153.57 %
Trades 324
Profitable Trades 230
Loss Trades 94
Win ratio 70 %
Maximum account level +1253 pips +$4255.87
Minimum account level -4670 pips -$1677.17
Max loss -5923 pips -$5933.04
Max loss (%) 197.70%
since 2009-04-22 to 2009-06-06
 
 
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