T.H 2.0 / Aggressive (Od QuantumLogic)

Používateľ odstránil tento systém.

T.H 2.0 / Aggressive Diskusia

Aug 04 at 09:15
85 Zobrazení
1 Replies
Členom od May 31, 2024   21 príspevkov
Aug 04 at 09:15
T.H 2.0 builds upon the core code and market edge of the original T.H algorithm, incorporating several enhancements to improve real market operations and profitability.

*Refined Trade Generation:

-- Pattern Optimization: Refined the algorithm to generate trades based on a single, highly successful price pattern identified from T.H 1.0. This pattern exhibited the highest win rate.

-- Increased Trade Volume: T.H 2.0 no longer restricts the number of trades based on predefined rules. By allowing the algorithm to generate a higher volume of trades within this optimized pattern, we maintain a high win rate while increasing overall trade frequency and potential profit.

*Risk Management Adjustments:

-- Dynamic Risk Allocation: As the win rate improves, T.H 2.0 adjusts to take on higher risks per trade. The current configuration allows for a 5% risk per trade.

-- Enhanced Capital Protection: A new feature has been integrated to mitigate excessive losses from black swan events. This complements the existing mechanisms that protect capital against extreme market conditions, slippage, and abnormal spreads.
Členom od May 31, 2024   21 príspevkov
Aug 05 at 09:05
System Updates :

All our systems have been running on real accounts with no issues. I tend to showcase the demo accounts publicly for stable results, as they involve no deposits, withdrawals, or risk adjustments over time. Please note that demo accounts do not experience slippage, so the results on real accounts can vary slightly. Real market conditions introduce slippage and price feed variations, which typically reduce our profits by around 3% and increase our drawdown by approximately 4%.

The systems displayed on Myfxbook are configured with a risk template designed to highlight their potential profits and rewards. However, the risk/reward ratio can be adjusted to either increase profits or reduce drawdown levels based on your preferences.

Adjustable Risk/Reward:

The risk/reward ratio can be modified by adjusting the lot size and balance to achieve your desired drawdown level and average monthly profit.
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