Acme Hedge - Normal Mode (Low Risk) (による forex_trader_28394)
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Acme Hedge - Normal Mode (Low Risk) 討論
Feb 25, 2010からメンバー
95 投稿
Sep 12, 2009からメンバー
313 投稿
Feb 25, 2010からメンバー
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Apr 25, 2011からメンバー
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Nov 01, 2011 at 04:32
Apr 25, 2011からメンバー
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'nice graph' ?
What is see is a realized DD of 14%, on top of which we have a floating DD of 12.3% (Equity is now at 87.70%).
Interesting to note: the other 2 accounts, supposedly traded with more aggressive settings, closed the basket in profit for all the occasions this account realized a loss. I guess the allowed DD was hit here, being smaller...
What is see is a realized DD of 14%, on top of which we have a floating DD of 12.3% (Equity is now at 87.70%).
Interesting to note: the other 2 accounts, supposedly traded with more aggressive settings, closed the basket in profit for all the occasions this account realized a loss. I guess the allowed DD was hit here, being smaller...
He who thinks he can, and he who thinks he cannot, are both right. ~ Henry Ford
forex_trader_28394
Jan 31, 2011からメンバー
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Nov 01, 2011 at 07:24
Jan 31, 2011からメンバー
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@kishorejoga
For your information, we need not woo investors. all accounts maintained by us are transparent... you can see the status of all our three accounts
For your information, we need not woo investors. all accounts maintained by us are transparent... you can see the status of all our three accounts
Feb 25, 2010からメンバー
95 投稿
Nov 01, 2011 at 10:20
(編集済みのNov 01, 2011 at 10:31)
Feb 25, 2010からメンバー
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@ Remus Miclea
Kishorejoga was precisely talking about the other two graphs being 'nicer'.
The realised loss from peak is (10953.51-12328.75)/12328.75 = -11.2% (as far as I can see, myfxbook's way of calculating 'realised' DD% is based on a cut-off time and should not be used)
The closing of the loss days were based on timed exits, not because an allowed DD parameter was hit.
@ Acmehedge
If I were an interested investor, what reason do I have to place funds in this 'Low Risk' account as opposed to the 'Aggressive' account?
What is the difference between the two?
Kishorejoga was precisely talking about the other two graphs being 'nicer'.
The realised loss from peak is (10953.51-12328.75)/12328.75 = -11.2% (as far as I can see, myfxbook's way of calculating 'realised' DD% is based on a cut-off time and should not be used)
The closing of the loss days were based on timed exits, not because an allowed DD parameter was hit.
@ Acmehedge
If I were an interested investor, what reason do I have to place funds in this 'Low Risk' account as opposed to the 'Aggressive' account?
What is the difference between the two?
Feb 25, 2010からメンバー
95 投稿
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