Marusha 2010 (由 ForexInvestGroup)
收益 : | +359.51% |
缩减 | 83.93% |
点: | -1902.0 |
交易 | 615 |
赢得: |
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损失:。 |
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类型: | 演示 |
杠杆率: | 1:200 |
交易: | 自动的 |
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Marusha 2010讨论
会员从Jan 26, 2010开始
39帖子
会员从Apr 30, 2010开始
34帖子
会员从May 21, 2010开始
6帖子
May 21, 2010 at 22:49
会员从May 21, 2010开始
6帖子
Man, even if this WAS a live account I would have been thrilled to close out those MASSIVE losing positions and take the ACTUAL profit (equity) it HAS made!!! Not many (if any) EA'S can quadruple an account in less than 30 days, OMG!! Perhaps this EA can be improved by including either a hedging feature or an anti-hedging feature.
Anti-hedging feature: if the EA makes a trade in a certain direction and the pair goes in the opposite direction close the losing position and open a new trade in the CURRENT direction. Ride that wave and take profits. Then, wait for the wave in the new direction to come back around to the same close out price as the LOSING trade and reopen the trade again at the original losing trades' close ... this time in the correct direction.
Traditional hedging will generally work fine (especially when it doesn't cost you any extra against margin ... if it does you need to change brokers) as with most major pairs the daily up and down movements will enable you to take profit in both directions eventually ... if you're not too hung up on drawdown (DD) that is.
I'm curious, looking at the history of the trades ... was it a manual override that caused the large lot size trades? Or did the EA see something it was programmed to detect and it took a few disproportionately large risks with the HUGE lot size bet on it's own??
ForexInvestGroup, I really hope you decide to share your EA or at least talk the person who developed it into sharing it with us. I know it's JUST a forward test but at least they are still better than useless back tests, lol! Good luck and thank you for placing it's progress up here for all of us to drool over, I mean, see how great it's potential is ;)
Anti-hedging feature: if the EA makes a trade in a certain direction and the pair goes in the opposite direction close the losing position and open a new trade in the CURRENT direction. Ride that wave and take profits. Then, wait for the wave in the new direction to come back around to the same close out price as the LOSING trade and reopen the trade again at the original losing trades' close ... this time in the correct direction.
Traditional hedging will generally work fine (especially when it doesn't cost you any extra against margin ... if it does you need to change brokers) as with most major pairs the daily up and down movements will enable you to take profit in both directions eventually ... if you're not too hung up on drawdown (DD) that is.
I'm curious, looking at the history of the trades ... was it a manual override that caused the large lot size trades? Or did the EA see something it was programmed to detect and it took a few disproportionately large risks with the HUGE lot size bet on it's own??
ForexInvestGroup, I really hope you decide to share your EA or at least talk the person who developed it into sharing it with us. I know it's JUST a forward test but at least they are still better than useless back tests, lol! Good luck and thank you for placing it's progress up here for all of us to drool over, I mean, see how great it's potential is ;)
The less I do, the more I make ... I LOVE trade copier services!!!
会员从Sep 04, 2009开始
879帖子
会员从May 21, 2010开始
6帖子
May 22, 2010 at 00:24
会员从May 21, 2010开始
6帖子
What I mean is back tests don't tell much without a something resembling REAL market conditions. So, a forward test is somewhere in the middle in that it does have the moving prices and trends but not the other things like slippage and requotes. With a back test, there are no 'market conditions' per se. I would never start trading a robot on a live account based on a promising back test without first testing it forward on a practice account, that's all I meant.
The less I do, the more I make ... I LOVE trade copier services!!!
会员从May 05, 2010开始
5帖子
会员从Jan 26, 2010开始
39帖子
May 25, 2010 at 12:45
会员从Jan 26, 2010开始
39帖子
This expert is not completely finished model. We own the already completed a model expert. But in the contest we can not put it. The volume of lots has been increased by the expert as he saw the critical drawdown of the deposit. And he went on micro lots. The system uses three types of trade. When he has accumulated lots of micro sufficient deposit to exit from the drawdown, he will do. But I am afraid that the end of the competition will not have time. Need a more active market.
会员从Jan 14, 2010开始
556帖子
会员从Jan 26, 2010开始
39帖子
May 25, 2010 at 12:54
(已编辑 May 25, 2010 at 12:56)
会员从Jan 26, 2010开始
39帖子
Free margin is currently 87 467%. And the expert will not touch the large lots. When is the best situation, he will close the grid of large orders at no loss. Margin calls will not. But the first big chance of me already flies 😑 .
会员从Mar 03, 2010开始
22帖子
会员从May 05, 2010开始
5帖子
会员从Jan 26, 2010开始
39帖子
May 30, 2010 at 20:19
(已编辑 May 30, 2010 at 20:41)
会员从Jan 26, 2010开始
39帖子
the problem is not squat, but vtom that 2 minutes before the end of auction now all quotes and charts for exactly 1 minute only on EUR / USD and in 23-59 again, appeared all but unprofitable warrant system were removed. And in 23-59 advisers continued their work. Free money was USD 7000 on what is there to talk or stopout, margincall?
With this issue we turn to the broker or the organizer of the contest.
проблема не в приседании, а втом что за 2 минуты до окончания торгов исчезли все котировки и график ровно на 1 минуту только на EUR/USD а в 23-59 снова появились но все убыточные ордера были системой удалены. А в 23-59 советники продолжили свою работу. Свободных средств было 7000 USD о каком тут можно говорить маржин коле или стоп ауте?
С этой проблемой мы обратимся к брокеру или организатору конкурса.
With this issue we turn to the broker or the organizer of the contest.
проблема не в приседании, а втом что за 2 минуты до окончания торгов исчезли все котировки и график ровно на 1 минуту только на EUR/USD а в 23-59 снова появились но все убыточные ордера были системой удалены. А в 23-59 советники продолжили свою работу. Свободных средств было 7000 USD о каком тут можно говорить маржин коле или стоп ауте?
С этой проблемой мы обратимся к брокеру или организатору конкурса.
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