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AssetFX
GBL - B
在
交易系統
中
Oct 02, 2013 at 05:24
Now you want Managed Accounts? Just Read this before thinking about investing. - http://www.donnaforex.com/forum/index.php?topic=11145.0DonnaForex Caught them Red Headed.
martin
在
交易系統
中
Jul 31, 2013 at 12:19
Is this the same signal service?http://www.myfxbook.com/members/NickMcDonald/pip-investor-nicks-account/437936
EA MartiStoch v.2.0
在
交易系統
中
Jul 31, 2013 at 12:19
@GBLab It was very confusing at first, but you have answered my questions and I now understand how your bot works. I'll follow the system and decide in another month!.
EA MartiStoch v.2.0
在
交易系統
中
Jul 29, 2013 at 12:05
I found At level 5, the Lot multiplier went to 10x. I thought the multiplier was 3x all the way through? Did I miss something? I found this comment on DonnaForex. I can not confirm if more trades were suppose to be included in this Basket. From what is displayed , at Level 5, the Lotsize is relatively larger than what our Margin would allow at most fx broker. Can I open a 4.86 Lot with a 4900 Balance? No. What account leverage is used during your Backtests?
Tricky Twister Duo
在
交易系統
中
Jul 29, 2013 at 12:05
How many accounts have blown out with this strategy?http://www.myfxbook.com/members/TTwister/tricky-twister-fx-set-1/465312Any updates after the blew up? Is that Duo to replace the strategy that blew?
BestFXBot - Advisory - 2008 - 99% Modeling Quality Tick Data
在
策略
中
Jul 29, 2013 at 12:05
Survived 2008. First time to see with these types of systems
EA MartiStoch v.2.0
在
交易系統
中
Jul 29, 2013 at 12:03
07.29.2013 10:01 07.29.2013 10:41 EURUSD Buy 0.02 -252.80 17.20 1.32708 1.32880 17.2 3.24 40m 0.27% 07.29.2013 09:29 07.29.2013 10:41 EURUSD Buy 0.01 -254.10 15.90 1.32721 1.32880 15.9 1.49 1h 12m 0.13% Why is there only 2 pip difference in Open Price between these orders? Doesn't this mean No grid element? Please explain.
BestFXBot - Advisory EA - Default - EURUSD
在
交易系統
中
Jul 29, 2013 at 12:02
On July 10th, your account did have drawdown while this EA blew - http://www.golden-boomerang-lab.com/ea-martistoch-v20.htmlI think strategies are similar because your balance curve very close. I find your history on fxstat - http://www.fxstat.com/performances/view/16507 and I see many traded on july 10th, 2013. No big lots like the other grid EA's. I only find this. I will look at backtests to understand more. 07.09.2013 18:40 28037137 Buy 0.48 EURUSD. 1.2768 0.0000 1.2782 07.09.2013 19:16 1.2782 0.00 14 67.20
BestFXBot - Advisory - Risk #1 Custom Set
在
交易系統
中
Jul 29, 2013 at 12:01
I see other systems fail while your system still goes up. Why did you accounts survive when many fail like Forex Benz EA and MartiStoch EA ? Do you intervene?
EA MartiStoch v.2.0
在
交易系統
中
Jul 29, 2013 at 11:42
I read that the older account blew as stated here - http://www.golden-boomerang-lab.com/ea-martistoch-v20.htmlI don't understand http://www.myfxbook.com/strategies/ea-martistoch-conservative-2010-2013/41036 - Older version http://www.myfxbook.com/strategies/ea-martistoch-v20-conservative-2009/44255 - newer versionHow does the new version 2.0 "" would pass that "D-day" - with only 20% of balance lost, "" . Are we suppose to run your robot with the 20% max DD equity Protection ( drawdownlimit)? because your 2.0 version backtest does not use a 20% maxDD and you...
EA MartiStoch v.2.0
在
交易系統
中
Jul 29, 2013 at 11:42
http://www.myfxbook.com/strategies/ea-martistoch-v20-conservative-2009/44255Can you explain why the EA would open a 1.62 lot and close for 13 pips then reopen the Same Lot size at the same minute the previous trade closed? Isn't this a waste of commission? The closing logic the same as the Opening logic? Or this is no logic after the first open positions? Please explain!10.30.2009 13:00 10.30.2009 13:59 EURUSD Sell 1.62 1.50358 1.47928 1.48058 1.47928 13.0 194.40 59m 3.04%10.30.2009 13:59 10.30.2009 15:16 EURUSD Sell 1.62 1.50221 1.47791 1.47921 1.47791 13.0 194.40 1h 17m 2.95%
EA MartiStoch v.2.0
在
交易系統
中
Jul 29, 2013 at 11:40
Conservative settings at 9% DD ( 1k deposit )Aggressive setting at 58% DD ( 2k deposit ) This Calculates that Aggressive setting has DD with 12 Times the Risk > Conservative and 3x Gains < Aggressive setting is 12 times riskier and only 3 times more Gains.
EA MartiStoch v.2.0
在
交易系統
中
Jul 29, 2013 at 11:40
I find interesting statistics in comparing your backtests from Conservative to aggressive. Here is conservative. Please do custom analysis with End Date = Dec 31 , 2009Gain:+662.91%Daily: 0.12%Monthly: 3.74%Drawdown: 9.32%Balance: $6.6KHighest: (Dec 31) $7.6KProfit: $6629.07Deposits: $1000.00Total 1811 Trades. http://www.myfxbook.com/strategies/ea-martistoch-v20-conservative-2009/44255 A 600% gain with 9% DD in 2009. Very good. Impressive. Now we look at Aggressive Setting in the next backtest. Same Date Jan 2009 - Dec 2009 - http://www.myfxbook.com/strategies/ea-martistoch-v20-aggressive-2009...
Typical Market Maker
在
交易系統
中
May 07, 2013 at 18:45
Manual Trader with real goals to trade Forex successfully while maintaining lan extremely low drawdown. DD is limited to 2% of Account Balance. $100 Balance can only float a $2.00 Loss ( about 20 pips ). Once Equity > Balance, strategy will change to maximize gains ( more activity). Main Focus is to trade within the Equity Protection Boundary to ensure longevity and realistic sustainable growth.
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