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Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 05, 2014 at 16:46
This event might be even beneficial for most Cesar followers, as such a DD was in the cards, so it was better to experience it now than 6 months later with larger funds.Any DD above 15% is usually difficult to tolerate for most traders with a few thousand USD account sizes, and as accounts grow with profits (>10k) even -10% or -5% DD can be really painful.In my opinion anything beyond a 0.01 lot/2000 USD risk setting with Cesar400 carries the potential of emotianally undigestible loss, so I suggest to all Tomas followers to continue with the above "digestible" risk setting (or eve...
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 05, 2014 at 16:35
Profits (in %) were definiiely higher on Cesar2.0 (as expected with the higher risk setting). January was one the only exception.Cesar 2.0 proifits were usuallly 2x higher than Cesar 400 profits, but sometimes even 3-4x higher. Just click on the enclosed profit diagrams...
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 05, 2014 at 12:37
Yes, that is EXACTLY what has happened on Cesar2.0 connected accounts.
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 05, 2014 at 12:27
My calculation:Master account has 1225 USD and trades with 0.01. This setting carries a -30% DD risk.So trading 0.01 lot on 500 USD means 2.45x risk of the Master settings (1225/500).In other words, if Master has -30% DD risk, then with 0.01/500 USD we need to multiple the -30% DD risk by 2.45, which gives the previously mentioned -73% DD risk.(Of course, also profits on 0.01/500 USD accounts had been 2.45x higher.)
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 05, 2014 at 12:14
Yes, all the above has been clear for me.The recommended "HIGHEST risk" was 0.01 lot / 500 USD.So it was obvious that if the max. DD on the Master were -30%, then the DD - at the recommended HIGHEST risk - will be about -73% (1225/500 x -30%).So anybody signing up for the 0.01/500 USD setting was probably aware of this -73% DD risk. (Or maybe not...)
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 05, 2014 at 11:14
I would like to speak in DEFENSE of Tomas (as he has not spoken up HERE recently, only on SimpleTrader).Well, he has emphasized multiple times that the -33% DD refers to the MASTER ACCOUNT, which is Cesar400, which is in -14% DD now. So where is the problem...???That is a different story if someone had asked him to run his/her account at DOUBLE/TRIPLE risk. Which means NOT ONLY DOUBLE/TRIPLE PROFITS on the good days, but obviously DOUBLE/TRIPLE DD (a potentially double/triple losses) on the bad days.Anybody trading Forex should be aware that "HIGHER RISK" are NOT JUST TWO simple WORD...
~ Done ~
in
Tirdzniecības sistēmas
Oct 04, 2014 at 11:56
Or via SimpleTrader...For example: 200 USD x 1000 subscribers = 200,000 USD additional passive in come per MONTH.Personally I would definitely use the opportunity to make an extra 200k per month (i.e. 2.5 Million USD per year) as PASSIVE income, even if I were a $-multimillionaire.
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 04, 2014 at 11:44
HERE IS THE requested LINK: http://www.myfxbook.com/members/togr/caesar-400-eurusd/662462Current DD on Cesar400: -14%, which is tolerable and may possibly recover to breakeven when Deutsche Bank is "back to business".So the problem is NOT with Cesar2.0 (which has the same exact entries and exits as Cesar400), but with the HIGH RISK Cesar2.0 was running at (besides letting it trade in BIG news days)._______________________________________________________For anybody following Cesar strategy I would suggest at least a 0.01 lot /2000 USD risk setting (or even lower) to avoid the possibil...
Caesar@IcMarkets
in
Tirdzniecības sistēmas
Oct 03, 2014 at 18:52
I apologize. You are right! The risk was much higher on Cesar 2.0.So now I wonder why Cesar 2.0 was running at so high risk in contrast to Cesar400...?Cesar 2.0 subscribers - even with lower individual risk settings - had no chance as Master has closed, while Cesar400 clients might come out from this basket even with profit...
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 03, 2014 at 18:40
Correct. Grids should not be traded on major news days.
~ Done ~
in
Tirdzniecības sistēmas
Oct 03, 2014 at 18:38
I am sure you could make good money just by providing an AUTOMATED signal service. No extra work, as all could be automated. Your trades would copy to subscribers accounts AFTER you have made the trade for your private client. So it would not interfere with your private client's interests.You would just CASH IN the monthly fees. Even if your strategy loses. In other words: You don't have anything lose. Literally.What is holding you back to broadcast your signals...? It would be practically FREE MONEY for you...
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 03, 2014 at 18:17
Yes, it is a grid stratey. The BEST grid strategy I have ever seen... Even if it hits DD... Which was a "CALCULATED RISK".
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 03, 2014 at 18:16
I am pretty sure it will be around -33% of 1226 USD, i.e. at approx. -410 pips DD.IF we get there. But it may just turn around for a nice "CESAR profit".
Caesar@IcMarkets
in
Tirdzniecības sistēmas
Oct 03, 2014 at 18:02
If you look at trade history of Cesar400 ("Managed") and Cesar2.0 ("Signal"), then it is obvious that we are talking about the same exact strategy. The only difference is funding. Subsequently the -33% DD limit has reached the lower funded Cesar2.0 today, but not the better funded Cesar400.Cesar2.0: http://www.myfxbook.com/members/togr/caesar2icma/737724Ceasr400: http://www.myfxbook.com/members/togr/caesar-400-eurusd/662462
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 03, 2014 at 17:52
Which is why Tomas offered the managed account option...
Caesar@IcMarkets
in
Tirdzniecības sistēmas
Oct 03, 2014 at 17:51
I agree. It was doing exremely well in ranging markets. So "letting" the EA trade before major news was... hmmm... let's say: "risky"... or... 'not too smart"...
Caesar@IcMarkets
in
Tirdzniecības sistēmas
Oct 03, 2014 at 17:48
I disagree. The SAME EXACT trades were running on SimpleTrader and on Cesar400 Managed accounts. The only difference was the funding of the TWO master accounts.SimpleTrader Master had 700 USD while Managed Master had 1200 USD funding. So it is obvious that -30% SL trigger was hit on the 700 USD funded SimpleTrader Master and it was not on the 1200 USD funded Managed Master.
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 03, 2014 at 17:44
It seems Cesar 2.1 is much safer. No SL has been triggered in LIVE forward tests and during a 5-year backtest.
Caesar 400% EURUSD
in
Tirdzniecības sistēmas
Oct 03, 2014 at 17:43
Managed "Master Account" had higher funding, so did not hit the -30% "basket close trigger"...
Caesar@IcMarkets
in
Tirdzniecības sistēmas
Oct 03, 2014 at 16:56
"Cesar400" Master account has not crashed at all... With 0.01 lot/1200 USD it is in -15% DD for the day (at this moment)... Not that bad...Signal account on "SimpleTrader" had much lower funding, which is why it had closed the basket. Managed accounts are still running...http://www.myfxbook.com/members/togr/caesar-400-eurusd/662462
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