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Anthony Wins
트레이딩 시스템
에서
Nov 06, 2020 at 14:47
Game Over!As already predicted by my users.All money has gone. Similar to Accentforex other PAMM accounts @Gdow @Nowak.Where are you Mr. @AnthonyWins?https://www.myfxbook.com/files/LongVision/tonywin1.pnghttps://www.myfxbook.com/files/LongVision/tonywin2.pnghttps://www.myfxbook.com/files/LongVision/tonywin3.png
FXCharger
트레이딩 시스템
에서
Aug 25, 2020 at 16:40
Another new account only registered few hour ago to troll because I question there EA.
7 Benefits of using stoplosses
일반
에서
Aug 25, 2020 at 15:25
Stoploss is must but where to put stoploss depend upon type of strategy. 1.For trend following strategy small Stoploss should be used. 2.For countertrend strategy large Stoploss should be used as a protective stop in such a way that trading position survives say 95% of time.
Davalafx La Casa 2020 Manage Acc
트레이딩 시스템
에서
Aug 23, 2020 at 16:10
Well done. Great job.
FXCharger
트레이딩 시스템
에서
Jun 16, 2020 at 09:11
I live trading these strategies since 2017 in forex with positive result. There is always some kind of correlation exist between different pairs. What I can control only risk on individual trades only.How strategies will be performed on future data there is no guarantee but only probability. As a algo trader result of individual or few trades does not matter. The trading system decides which trades to make, regardless of current conditions.
Show your profitable account here.
일반
에서
Jun 15, 2020 at 17:08
Fully Automated Multi strategy, Multi currency & Multi timeframe trading. Long-term growth with drawdown below 20%. No Grid, No Martingale and No average. Only use simple risk management strategies. http://www.myfxbook.com/members/LongVision/longbomb-stock-index/2490417http://www.myfxbook.com/members/LongVision/tat-system/3575530http://www.myfxbook.com/members/LongVision/night-rider/6362921
FXCharger
트레이딩 시스템
에서
Jun 15, 2020 at 14:26
That is a vaild question. I already taken this in the consideration. Correlation between pair should also consider when trading on multicurrency strategy. For example USDCAD & EURUSD have common currency USD so any strategy may have 50% correlation. So I reduced the risk by 50% when I will deploy any strategy. But in case of EURCAD and AUDUSD I will not reduce any risk as these pairs are uncorrelated to each other.This is why trading is not easy you have to consider multiple things when trading. Thanks
FXCharger
트레이딩 시스템
에서
Jun 15, 2020 at 12:01
In place of uploading BT. I will share live trading account. I already share few live accounts soon after few month of live trading, I will share other accounts. Trackrecord is more significant then any BT.Thanks
FXCharger
트레이딩 시스템
에서
Jun 15, 2020 at 07:58
Thats true I also not consider 168 trades statistically significant. Now consider same results on 10 currency pair then total trade will be over 1600. If I add two different time frame for same strategy then nos are well over 5000.Over 5000 trades are definitely statistically significant. There is always possible to have different approach for backtest. I already done that exercise. As you know for MT4 backtest it is not possible to test multiple currencies so I had done BT on individual pair.
FXCharger
트레이딩 시스템
에서
Jun 15, 2020 at 07:44
Ok that was just an example. If you use multiple strategies on multiple timeframe & Multiple market then stagnation period can be easily reduce from 1-2 years to few months only. You may have different approach to market. My approach is that I trade only strategy which is profitable on multiple pairs not only on single pair. I am already giving my time and energy on that and getting positive results. May be Martingale MM suit your trading style. Good luck for your trading. Thanks.
FXCharger
트레이딩 시스템
에서
Jun 15, 2020 at 07:32
Thats true, BT is different from real market conditions.
FXCharger
트레이딩 시스템
에서
Jun 14, 2020 at 17:04
I don't know why Martingale Money Management is so popular in forex. There are other better Money Management Strategy such as Kelly Criterion exist. As per kelly Criterion your risk increase in the following case only-1. Higher the winrate higher the risk per trade.2. Higher the Reward/Risk ratio higher the risk per trade.I am here sharing the backtest where risk is 50% of the kelly Criterion.No Grid, No Martingale and No average of an existing positionhttps://www.myfxbook.com/files/LongVision/Kelly_EURSEK.pngIt is possible to earn money with simple MM without crash your accout.
Devakumar ShanmugaSundaram
트레이딩 시스템
에서
Jun 14, 2020 at 10:52
They are still in business. Yes they closed there business in Europe and US after swiss franc pegg event in jan 2015.They are still in business with other regulations.
Devakumar ShanmugaSundaram
트레이딩 시스템
에서
Jun 14, 2020 at 09:33
You are right peoples are jealous if they see others earning so much money. But please understand that there are many unregulated brokers that shut there shop overnight and runaway with money in past. Unregulated brokers also use same tactics they trick new traders by showing incredible gain then steal there money.
Devakumar ShanmugaSundaram
트레이딩 시스템
에서
Jun 14, 2020 at 09:27
Alpari, XM are few example of local deposit there are few other brokers. I personally used alpari. I never face issue such as online wallet such as skrill, neteller go off anytime.
FXCharger
트레이딩 시스템
에서
Jun 14, 2020 at 09:03
Obviously you are correct that it is difficult to developed a long term EA with consistent Edge but It doesn't mean you go for high risk trading.
FXCharger
트레이딩 시스템
에서
Jun 14, 2020 at 08:52
I did not hide period. I also shared backtest file. Backtested since 2003. Grid and martingale are only illusion of edge nothing else. Few settings change I can make my systems that show incredible gains but I don't want to waste my energy and time on grid and martingale. Goodluck for your high risk system.
Devakumar ShanmugaSundaram
트레이딩 시스템
에서
Jun 14, 2020 at 07:52
That is not true that only few brokers supports Indian client most well known brokers support Indian client. Using shady broker only create doubts about your trading on other people mind. Unregulated brkers can close there business overnight without any liability but atleast in case of regulated brokers there is procedure for business closure. Hope you understand the difference.
FXCharger
트레이딩 시스템
에서
Jun 13, 2020 at 14:38
So Martingale trading is basically about curve fitting the max drawdown so that account survive for longer period. More aggressive the trading most likely your account blown early and less aggressive the trading your account will survive for longer period.
FXCharger
트레이딩 시스템
에서
Jun 13, 2020 at 06:58
Let's talk facts about high-risk trading such as Gird and Martingale.I also develop an EA based on the Martingale strategy(Which I never use on real account). I am here sharing backtest of the strategy which I backtested since 2003 on tickdata. Look at the equity curve consistent profit without losing any month. This backtesting works on multiple currency pairs. Look like a money-printing machine.So what is the catch here?The answer is that I curve fitted Entry, Exit and Risk in such a way that EA backtesting should survive downswing since 2003. But there is a high probability that account...
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