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Baliguy
Oanda AU
v
Obchodní systémy
Sep 14, 2013 at 14:04
Hi all, On September 10, 2013 I finally got my EA working. It does the trading when I'm not there. At the beginning, in June, I was using the bought system, very manual. It worked, but it had bad spells. It did have a random number in it, and that did worry me a little. It clung to previous trends a little too much. In the manual logging of trades as they should have been taken, there was significant profit overall. In August I wrote my own and it seemed to do better. With my own code I am able to change and adjust easily. Also, using VB and Excel I can "backtest" and o...
Oanda1
v
Obchodní systémy
Aug 16, 2013 at 10:54
I'm moving this to: http://www.myfxbook.com/members/Baliguy/oanda-au/647207It is the same account, but it gets updated here much better. The one here uses updates from fxgame and trades get stuck. The new one uses auto update and it work fine. These are both the same Oanda account, but different myfxbook accounts. and you can compare and see why I'm moving it. I close all trades every day, so there should be nothing more than one business day old ever.Also, starting around August 12, 2013, I am using a new version of the same system. One that I wrote myself. The loosing streaks ...
Oanda1
v
Obchodní systémy
Jul 01, 2013 at 12:08
This is a sort of hedging system. There are almost equal number of wins and looses, but the wins are allowed to go further and the losers are cut short usually. Every $400 I increase lot size by 1000 (shows as 0.01 in OANDAMT4). I will soften that to increase at every $500 or $600 later possibly. All my work in done in 40 minutes every morning and then hands off until the next morning when every thing still open is closed. At only a month into it, I can see myself living on just this income in a few months. However, the future is unknown. We will see years from now. Also, there is much...
Portfolio
v
Obchodní systémy
Feb 16, 2012 at 11:29
I am shifting to my other portfolio system which is slow and steady, but I think maybe faster in the long run. Give it a week to align with the system.
Portfolio
v
Obchodní systémy
Feb 15, 2012 at 02:32
Even if I close all trades, the account is still up 40% at this moment. (from $5169.43) I open trades at 0.01 for every $1000 equity. With $7300 equity I open trades for 0.07. I could increase that, but I am going to have a lot of trades open. I put TPs at $10 per 0.01 lot. I adjust that up or down after looking at pivot points. I skip currencies if there are too many bunched up orders on a chart.
Portfolio
v
Obchodní systémy
Feb 14, 2012 at 10:39
Yaaae!! I was worried. I did see minus $700 equity yesterday. Today I see some TPs and equity is near balance and sometimes higher again. Everything tells me portfolio is the way to go, but no one talks or trades this way.
FFM2.1-Demo
v
Obchodní systémy
Feb 10, 2012 at 12:20
I've been experimenting with another system. Check it out here: http://www.myfxbook.com/members/Baliguy/portfolio/239556
Portfolio
v
Obchodní systémy
Feb 09, 2012 at 19:35
This is one of my experiments. Ignore the big 1.0 and 2.0 lots that mostly margined from an early version. Start from Feb. 6, 2012 at amount $5169.43. Today I have $7119.27 in balance and $7033.79 in equity. Only $100 or so in negitive profit on open trades. The dollar amount on open trade ranges a lot every second, but never seems to be over $200.What the heck! Beginners luck I'm sure. It's not even one week yet. I haven't put any stop losses yet. I do put take profits of $100 per 0.1 lots and $50 per 0.05 lots. I could improve that greatly, I'm sure. Opening trades ...
FFM2.1-Demo
v
Obchodní systémy
Feb 02, 2012 at 07:06
Neocash: I'm using all stock settings except for the four settings listed under each currency pair. They all have DualMode true. I really didn't pay attention to 1400 being more than the range listed while DualMode = true and maybe there really is no difference between 1200 and 1400. I'll pay attention to that next time.traderffm: I only used what I could get from my account, a few months. I'm working on getting Dukascopy tick data. I will try with v2.5.recint: I'd be surprised if you had the same settings that I have. I posted them here so any could try them, so ...
FFM2.1-Demo
v
Obchodní systémy
Feb 01, 2012 at 19:59
I'm still at 2.1. on this account. I already spent a lot of time tweeking 2.1. Then I had trouble with tick data and backtesting. I'm working on that now. Very soon I'll start tweeking v2.5. Stock settings on 2.1 were rally bad. When backtesting 2.1 I noticed profit went way up with risk. I didn't find a level of risk that would draw down the account to zero.Anyway, this is only based on a little bit of backtesting. I am very reckless with a demo account.
FFM2.1-Demo
v
Obchodní systémy
Feb 01, 2012 at 15:56
I only briefly did some backtesting with limited data and came up with this. It's working great so far! The -$308 was at the stock settings on January 20. I still want to tweek this.My settings as of today:audusdFilterDepth=600RiskPercent=17.3KofATR=2.7PerATR=25eurusdFilterDepth=1020RiskPercent=11.6KofATR=9.0PerATR=23gbpusdFilterDepth=1000RiskPercent=11.6KofATR=2.0PerATR=27usdcadFilterDepth=1400RiskPercent=11.6KofATR=3.0PerATR=30usdchfFilterDepth=780RiskPercent=11.6KofATR=7.4PerATR=14stock for reference:MarketExecution=1ReverseExit=1DualMode=1FilterDepth=600RiskPercent=10.00000000FixedLo...
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