Statistically, if you take the average loss per trade, they do not make mistakes, but my math is not such a strategy is correct. According to my calculations the maximum relative drawdown in MA2 can reach up to 30%.
You are correcy, but myfxbook gets confused on one week data. Even if the trader does trade perfectlly the markets change.
I'm not saying that I am good at math, but I don't think there is possible to calculate the max DD. If I loose 30%, then it's possible to loose another 30% on remaining, then another 30% on remaining ...
I was not talking about a 30% loss of cash, but of loss followed by mandatory full recovery. But you are right that modern finance may be situations such universal collapse or severe shocks under which money are not only in trade but can be lost, and even what is stored under the mattress.)
By the way I have developed a hedging strategy which starts at the designated investor maximum drawdown, which will not go below a certain loss in advance. By this logic, hedging can operate in the manual version, but now I have been programming this logic and EA will be 100% non-drainable.
Trading on MA1 got nasty drawdown of 34%. Edited strategy can be observed in MA3. Hedging strategies that does not work because of difficulties in programming. But in manual mode hedging works well. Suggest to a new strategy called the Bren. I think this strategy will be most successful. In this strategy, there is no martingale.
Trading system is a automatic scalping trade on 3 currency pairs. Used on all currency pairs trade was tested in the tester strategies throughout 2013. With the settings used maximum relative loss is not more than 3% for each pair. Steady increase in capital. Trade is conducted around the clock from Monday to Friday.
MTexpert posted: Trading system is a automatic scalping trade on 3 currency pairs. Used on all currency pairs trade was tested in the tester strategies throughout 2013. With the settings used maximum relative loss is not more than 3% for each pair. Steady increase in capital. Trade is conducted around the clock from Monday to Friday.
Could you please post up some strategy test results? Say for between the stretch of 2000 and 2010? Investors are difficult to find, principally because you are selling a 'black box' that could eat their money, with no assets left behind to sell if the 'venture' fails. Best way is to provide as MUCH credibility as possible. This increases the Reward/Risk ratio, which is really all they are interested in at the end of the day.
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UPOZORNĚNÍ NA VYSOKÉ RIZIKO: Obchodování s devizami přináší vysokou úroveň rizika, které nemusí být vhodné pro všechny investory.
Páka vytváří další rizika a ztráty. Než se rozhodnete obchodovat s devizami, důkladně zvažte své investiční cíle, úroveň zkušeností a toleranci vůči riziku.
Můžete přijít o část nebo všechny své počáteční investice. Neinvestujte peníze, které si nemůžete dovolit ztratit. Educate yourself on the risks associated with foreign exchange trading, and seek advice from an independent financial or tax advisor if you have any questions.
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