PipStrider-Live (Oleh PipStrider)
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PipStrider-Live Perbincangan
Ahli sejak Mar 11, 2010
34 hantaran
Sep 16, 2010 at 09:56
Ahli sejak Mar 11, 2010
34 hantaran
hi what broker and settings are you using?
Ahli sejak Oct 28, 2009
78 hantaran
Sep 16, 2010 at 11:27
(disunting Sep 16, 2010 at 11:27)
Ahli sejak Oct 28, 2009
78 hantaran
Did you hit 7 or 8 martingale level? I am also interested in which settings you use.
Here are my PipStrider results. I guess I missed the June loss by sheer luck.
https://www.myfxbook.com/members/pipdetector/ps-fxdd/37870
Here are my PipStrider results. I guess I missed the June loss by sheer luck.
https://www.myfxbook.com/members/pipdetector/ps-fxdd/37870
Ahli sejak Jun 06, 2010
1 hantaran
Sep 17, 2010 at 15:29
Ahli sejak Jun 06, 2010
1 hantaran
I am using GoMarkets and am using the moderate settings that come with the EA, except that my ExpandPips2 setting is 100. The reason I had that June loss was because of something dumb I had done in the settings, which allowed me to experience the loss on the swap. The highest level I have reached so far in live trading is level 6.
Regards,
Jerry
Regards,
Jerry
Ahli sejak Oct 28, 2009
78 hantaran
Sep 17, 2010 at 16:35
(disunting Sep 17, 2010 at 16:36)
Ahli sejak Oct 28, 2009
78 hantaran
Thanks for sharing. I will think about setting ExpandPips2 to 100 -- it makes sense especially when Aggressive settings are used. Quite a loss on the swaps... I thought that this must have been something irregular, because if you exceeded level 7 the loss would have been massive and this was just a hiccup.
forex_trader_8139
Ahli sejak Mar 04, 2010
423 hantaran
Sep 17, 2010 at 17:14
Ahli sejak Mar 04, 2010
423 hantaran
Hi,
what happen if it hit level 7 or 8? Is you current money enough to protect your account from margin call?
Regards,
SIM
what happen if it hit level 7 or 8? Is you current money enough to protect your account from margin call?
Regards,
SIM
Ahli sejak Oct 28, 2009
78 hantaran
Sep 17, 2010 at 19:19
Ahli sejak Oct 28, 2009
78 hantaran
Aggressive strategy assumes increased risk for potentially better returns. My strategy is to start most aggressive at the beginning when the stake is the lowest and then gradually ease it off. Eg. I set the BalanceFactor to 1000 in the beginning, but I changed it to 1500 recently and I will continue it until it gets to 2500. I will leave it at that then.
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