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Drawdown Calculation
in
Vorschlagkasten
Jul 15, 2010 at 16:47
Happens to my account too. It seems to me that the way myfxbook calculates drawdown is by measuring the peak-to-trough distance. In this case, the distance is your percent return difference. Not the best way to measure a drawdown I would say.
JZ Prop Account
in
Handelssysteme
Jul 06, 2010 at 03:19
By the calculation made by myfxbook.com.Cumulative return is the total return on capital, taking into consideration of the timeline of deposit/withdrawal.While absolute return is total pnl/(deposit-withdrawal), without taking into consideration of the timeline.
JZ Prop Account
in
Handelssysteme
Jul 05, 2010 at 14:10
Please look under the help section, where it states the absolute p/l measures the dollar profit, without taking into account the time line of the deposits or withdrawals.Please do not misguide the others.
FX Manager Listing Board
in
Allgemein
Jun 18, 2010 at 19:16
Hi,I would say at a minimum, you should at least have 1 year of verifiable, audited track record. The optimal would be a period covering a complete economic boom and bust cycle. For example from 2001 to 2009.
FX Manager Listing Board
in
Allgemein
Jun 16, 2010 at 10:33
Usually you get paid a percentage of new profits based on High Water Mark, that is, losses must be made back before any new fees are deducted.
FX Manager Listing Board
in
Allgemein
Jun 14, 2010 at 05:25
The benefit is you are not exposed to unnecessarily large risks.
FX Manager Listing Board
in
Allgemein
Jun 12, 2010 at 11:31
1:10 is already mighty high and institutional clients look for 1:5 some even 1:2 and below. $5,000 was the minimum. And now since I don't take retail clients any more I raised the requirement to $25,000 to keep away the smaller clients. I need a bigger capital because I think I deserve an above average pay for the work I put in.
FX Manager Listing Board
in
Allgemein
Jun 12, 2010 at 10:25
Correct me if I'm wrong but I think I am the only manager who's got a profitable track record for the past three years on myfxbook.com.I don't take retail clients anymore unless by referral. The majority of the retail clients don't have the patience nor the right profit expectation, neither do they understand the inherent risk associated with the trading of any type of paper. 1. Minimum Acc: $25,0002. Broker digit: 53. Leverage: 1:10 to 15 maximum leverage on average.4. Manager Fee: 20% Performance with HWM5. Duration: No lock-in period but understand investments are for the lo...
joiny45
in
Handelssysteme
Jun 08, 2010 at 11:58
It's locked now.
You got scammed? Someone disappeared with your money?The NOT DO DO and NO GOs
in
Allgemein
Jun 05, 2010 at 16:19
That is SO true.
Millet Dad(小米爸爸)
in
Handelssysteme
Jun 03, 2010 at 03:24
I'd say the account is margin-called by the look of its open positions as of 4/15/2010, assuming no activity since then. I hope the OP had cut the euro position after the last update that way he'll still have some balance left.I think this is the ultimate fallacy of adding to a loser. Somewhere along the line you will run into something like this. A near vertical drop without a reaction. This is what kills you.
Community can vote if system is fraud
in
Vorschlagkasten
Jun 02, 2010 at 19:40
I don't think I'm from Bulgaria, lol.
joiny45
in
Handelssysteme
Jun 01, 2010 at 03:38
I'm just curious if you do have a plan for losing trades.
joiny45
in
Handelssysteme
May 31, 2010 at 18:35
Don't mean to be a hard ass but when do you plan on closing your losing trades?
JZ Prop Account
in
Handelssysteme
May 29, 2010 at 11:19
This is relisted due to demand. prior information/discussions maybe found here, http://www.myfxbook.com/community/trading-systems/jz-prop-account/11224,1Thanks for checking in:P
JZ Funds Global FX Account
in
Handelssysteme
May 29, 2010 at 08:41
The spike up was the result of buying back aussie almost 1000 points lower than where I sold them at 9200. It was a very rewarding month.
Help needed
in
Allgemein
Apr 23, 2010 at 14:51
try copying the entire folder and overwrite to your home pc.
FXOpen - USD
in
Handelssysteme
Apr 23, 2010 at 03:01
I thought I'd give my 2 cents.Basically,Unexpected events happen, all the time.What is the largest dip before a 30 pips retracement in EURCHF(a far less volatile cross than our dear euro sterling) prior to March 2009? Now if you based your analysis on that, you would be toasted in March 2009 during the CB intervention. You will see devaluation, intervention, war amongst other things. They WILL throw you and your martingale into the toilet and flush you down. You'll never see daylight again. That was how LTCM went down, and they thought there was 1 in a billion chance they could go down...
Millet Dad(小米爸爸)
in
Handelssysteme
Apr 21, 2010 at 12:14
You've got to be kidding me.
Millet Dad(小米爸爸)
in
Handelssysteme
Apr 20, 2010 at 16:42
here we go again....
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