Real account (由 Silentspec)
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Real account討論
會員從Oct 11, 2013開始
3帖子
會員從Oct 11, 2013開始
3帖子
Oct 18, 2013 at 20:09
會員從Oct 09, 2013開始
1帖子
Actually it does not matter whether or not the account would be wiped out.
The pure fact that the account master has broken his own money management rule by not closing all the trades when DD reached 50% is a major one that tells us it is not a trading per se, but rather a simple gambling activity.
The pure fact that the account master has broken his own money management rule by not closing all the trades when DD reached 50% is a major one that tells us it is not a trading per se, but rather a simple gambling activity.
Oct 18, 2013 at 20:17
會員從Mar 02, 2010開始
19帖子
I cannot hear this about 50% moneymanagement rule. Is ist better for you if Dimitry would have closed at 50% loss? Think about, it needs then 100% Gain to be at the balance before. I am also not happy with the way of this trades. Not happy with such DD. But why did you not close the trades for yourself? It is up to you, close the trades and get the loss. You are responsible for your account.
intinv@
會員從Oct 04, 2013開始
9帖子
Oct 18, 2013 at 23:57
會員從Jun 28, 2010開始
61帖子
@ForexPro @MesanMilan and friends here. I still trust Dimitri and his fantastic approach of Divergance and Fibs levels. He is not one of these guys that appear time to time here for the showoff.
Last night when in 50% DD and looking at Margin % .. , I dicided to go on my own and monitoring this grid , when there was only 10 pips to go for Breakeven , I went to the signal tabs and reduced my equity risk from 95 to 5% ( the minimum) . My intention was to close all trades at Breakeven and reenter market with only 5% risk when closing the trades ( with an EA called Close All Trades and pending orders) ... and guess what ?? Signal tab when activated at 5% ...closed all the positions that I had with lots from 0,07 to 0,15 partially ...leaving all the positions at the same size : 0,01 , but with a very small loss . I went to sleep and when I wake-up I saw that all the positions 0,01 where in a small profit , a little over BE. I thought It was time to change again my risk , just in case Dimitri closed the trade in profits and goes for another round with another pair ...so I raised my risk to 10% ... and guess what ? all trades with 0,01 were closed at their respective level ...and new trades were opened each one of them at the same 0,8490 with different lot size proportionally to master account. I lost 140$ at this game ( my game with Dimitri`s signals) but I have learned a lot .. I am happy , since I am still positive for the week and make some profit overall ... .
My next experiment will be ... when I decide to go to BE on my own ... and very close of BE ( because we went back from a DD of 40% or more ) ... I will FIRST go to Signals TAB and Uncheck the box which says sincronize with master account , I will uncheck the the box which says I accept the agreement ... .
There is still 2 posiibilities :
a) signal are not received from Master account and I can manage this grid on my own close partial and play the side game.
b) Broker/MQL5 close all trades and do not reopen positions.. ( but I will be in a small loss.
I can also check another Box in MT4 where trader have to confirm trades manually ..will try this one too , till I can master the game.
In MQL5 signals , Dimitri says CLEARLY this is a very high risk system with OUTSTANDING profits ..so everyone is at least advised. You can select your own risk level from 5 to 95% .. I will keep 95% till I multiply my account by 5 times , then I will start reducing risk ... .
Dimitri , thank you . This was only a race in the F-1 championship . Thumbs up .. your system is excellent.
Last night when in 50% DD and looking at Margin % .. , I dicided to go on my own and monitoring this grid , when there was only 10 pips to go for Breakeven , I went to the signal tabs and reduced my equity risk from 95 to 5% ( the minimum) . My intention was to close all trades at Breakeven and reenter market with only 5% risk when closing the trades ( with an EA called Close All Trades and pending orders) ... and guess what ?? Signal tab when activated at 5% ...closed all the positions that I had with lots from 0,07 to 0,15 partially ...leaving all the positions at the same size : 0,01 , but with a very small loss . I went to sleep and when I wake-up I saw that all the positions 0,01 where in a small profit , a little over BE. I thought It was time to change again my risk , just in case Dimitri closed the trade in profits and goes for another round with another pair ...so I raised my risk to 10% ... and guess what ? all trades with 0,01 were closed at their respective level ...and new trades were opened each one of them at the same 0,8490 with different lot size proportionally to master account. I lost 140$ at this game ( my game with Dimitri`s signals) but I have learned a lot .. I am happy , since I am still positive for the week and make some profit overall ... .
My next experiment will be ... when I decide to go to BE on my own ... and very close of BE ( because we went back from a DD of 40% or more ) ... I will FIRST go to Signals TAB and Uncheck the box which says sincronize with master account , I will uncheck the the box which says I accept the agreement ... .
There is still 2 posiibilities :
a) signal are not received from Master account and I can manage this grid on my own close partial and play the side game.
b) Broker/MQL5 close all trades and do not reopen positions.. ( but I will be in a small loss.
I can also check another Box in MT4 where trader have to confirm trades manually ..will try this one too , till I can master the game.
In MQL5 signals , Dimitri says CLEARLY this is a very high risk system with OUTSTANDING profits ..so everyone is at least advised. You can select your own risk level from 5 to 95% .. I will keep 95% till I multiply my account by 5 times , then I will start reducing risk ... .
Dimitri , thank you . This was only a race in the F-1 championship . Thumbs up .. your system is excellent.
會員從Jan 25, 2013開始
5帖子
Oct 19, 2013 at 18:56
會員從Jan 25, 2013開始
5帖子
Dimitri closed all trades this morning with 30% loss. but I still think Dimitri is a super hero in the fx market as he provide excellent opportunity for us to make profits all time. I suggest Dimitri and all of his signal followers with following principles :
Once the DD is over certain level (say 35%), the first priority should be set for brake even or miniseries the loss rather than making profit . It is very hard to see the price return large enough to cover the large loss and further into profit. It is much easy for Dimitri looking for a new pair trading for profit. ( I closed all trade yesterday morning and closed 2 new trades yesterday afternoon as soon as Dimitri opened them).
Technically, I'd like to say if price goes over big part of your DD, the trendy become strong, it is most likely any pull back is merely Fib retracement , or move in a up-down range, but not turnaround. However, to make good profit, we must see the price turnaround which is not very possible .
Anyway , thanks Dimitri!
Once the DD is over certain level (say 35%), the first priority should be set for brake even or miniseries the loss rather than making profit . It is very hard to see the price return large enough to cover the large loss and further into profit. It is much easy for Dimitri looking for a new pair trading for profit. ( I closed all trade yesterday morning and closed 2 new trades yesterday afternoon as soon as Dimitri opened them).
Technically, I'd like to say if price goes over big part of your DD, the trendy become strong, it is most likely any pull back is merely Fib retracement , or move in a up-down range, but not turnaround. However, to make good profit, we must see the price turnaround which is not very possible .
Anyway , thanks Dimitri!
會員從Oct 04, 2013開始
9帖子

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