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Mechanism_4x (Od Mechanist_fx)
Používateľ odstránil tento systém.
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Mechanism_4x Diskusia
Členom od Apr 08, 2021
2 príspevkov
May 20, 2021 at 10:26
Členom od Apr 08, 2021
2 príspevkov
Hi all,
Ive just finished backtesting my system and have launched it at the beginning of this week. It took backtesting 25000 trades in order to filter it down to the parameters that I have now. Each phase was approx 5000 trades worth to establish a positive expectancy across the portfolio. Each pair has a sample size around 200-250 backtested back to the beginning of 2019.
I backtested 26 pairs and have landed on 8 that work for my 'RB' system and 7 that work for my 'BW' system (trades will be tagged whenever they are taken).
Stats from backtesting suggest that I can expect around 700-750 trades per year, a winrate of around 48-48.5% with a reward to risk of around 1.5-1.55 :1.
This gives the system a strong expectancy and a very good frequency too.
Surprisingly, it has started off well. Expecting a few losses at some point to pull the winrate down to expected levels.
Ive just finished backtesting my system and have launched it at the beginning of this week. It took backtesting 25000 trades in order to filter it down to the parameters that I have now. Each phase was approx 5000 trades worth to establish a positive expectancy across the portfolio. Each pair has a sample size around 200-250 backtested back to the beginning of 2019.
I backtested 26 pairs and have landed on 8 that work for my 'RB' system and 7 that work for my 'BW' system (trades will be tagged whenever they are taken).
Stats from backtesting suggest that I can expect around 700-750 trades per year, a winrate of around 48-48.5% with a reward to risk of around 1.5-1.55 :1.
This gives the system a strong expectancy and a very good frequency too.
Surprisingly, it has started off well. Expecting a few losses at some point to pull the winrate down to expected levels.
Členom od Apr 08, 2021
2 príspevkov
May 20, 2021 at 10:30
Členom od Apr 08, 2021
2 príspevkov
There is also a secondary account set up in my portfolios incase I get a buy and a sell at the same time on a specific pair. I will be taking the second position on that account and transferring the money over at the end of the month (if there is anything to transfer). This is to maintain a level of transparency.
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