engfx_GoMarkets (由 engtraderfx)
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engfx_GoMarkets討論
會員從Aug 11, 2009開始
12帖子
Sep 11, 2009 at 01:46
會員從Aug 11, 2009開始
12帖子
These reports are running for my personal use & online monitoring over the web. MT4 is being run on a VPS.
These are real accounts, trading mostly personal EA's & a version of fapt & md.
All systems are based on the well know asian session mean reversion concept. Some have pyramiding thrown in.
The Go account is my first forex account right from the start showing all results including the early days & a bad trades. The early account only had $500 & you can see I had quite a % drawdown from early models & using incorrect position size (ie too high!) but have left all data for display for transparency.
You can see since since then, the (improved) results of developing my own models & correctly trading the right risk level so a few stop losses don't wipe out my account. Max position sizing varies now from about 1 to 5 % max risk, maybe 5 to 10 % if I have increased confidence in a system. Increased returns are achieved by multiple systems not increased position size.
These are real accounts, trading mostly personal EA's & a version of fapt & md.
All systems are based on the well know asian session mean reversion concept. Some have pyramiding thrown in.
The Go account is my first forex account right from the start showing all results including the early days & a bad trades. The early account only had $500 & you can see I had quite a % drawdown from early models & using incorrect position size (ie too high!) but have left all data for display for transparency.
You can see since since then, the (improved) results of developing my own models & correctly trading the right risk level so a few stop losses don't wipe out my account. Max position sizing varies now from about 1 to 5 % max risk, maybe 5 to 10 % if I have increased confidence in a system. Increased returns are achieved by multiple systems not increased position size.
Still learning.....
會員從Aug 11, 2009開始
12帖子
Sep 25, 2009 at 02:08
會員從Aug 11, 2009開始
12帖子
Note to self - well that was unfortunate, hit stop loss on 2 correlated pairs! Will have to look into that, so far I just keep the individual risk down to <= 5% but 2 together made a 10 % drawdown. Maybe I should check for existing trades of correlated pairs or look at a hedge?
Still learning.....
會員從Aug 11, 2009開始
12帖子
Sep 27, 2009 at 01:06
會員從Aug 11, 2009開始
12帖子
I agree, I had a 5 % risk per system, but with so many systems it can add up. However I have had 10% drawdowns in the past & it all recovers, at least I wasn't doing the silly risk (10% +) that some people use for the likes of fapturbo!
I just reviewed the gbpusd system & it is still well within backtested performance so all I can do it keep the risk down & let it play out. Any changes I try to add more filters just made the system trade less often & less profitably in long run so the key is probably just keeping risk down & let probabilities & compounding do their work.
I just reviewed the gbpusd system & it is still well within backtested performance so all I can do it keep the risk down & let it play out. Any changes I try to add more filters just made the system trade less often & less profitably in long run so the key is probably just keeping risk down & let probabilities & compounding do their work.
Still learning.....
會員從Aug 11, 2009開始
12帖子
會員從Aug 11, 2009開始
12帖子
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