Contest - m217irr (による m217irr)
増加 : | +499.09% |
ドローダウン | 50.90% |
ピップス: | 689.4 |
取引 | 36 |
勝利: |
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負け: |
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タイプ: | デモ |
レバレッジ: | 1:200 |
取引: | 不明 |
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Contest - m217irr 討論
May 18, 2012 at 18:06
Aug 24, 2011からメンバー
19 投稿
Hello mate,
Nice strategy. Could you pls share your contacts with me.
I like your strategy, you follow the trends and that is very cautious, Let me know if you are willing to trade or manage accounts, as I am looking for a strong team here.
Best Regards,
Olori
all the best ok.
Nice strategy. Could you pls share your contacts with me.
I like your strategy, you follow the trends and that is very cautious, Let me know if you are willing to trade or manage accounts, as I am looking for a strong team here.
Best Regards,
Olori
all the best ok.
May 20, 2012 at 07:01
Jan 11, 2012からメンバー
2 投稿
Hello,
Small drawdown is what I look for in over ten years that I trade, and also statistic significant numbers
I trade based on trend, sometimes a kind of my trades long to one or two weeks or even more ,
time parameter it is not important for me, only I think of safety of deposit
2 way for P/L : 30%/110% another 30%/250%
statistic significant numbers for 30%/110% :
after 28 trade
1 Loss , 1 Profit from 10000 $ we have 2200101 $
2 Loss , 1 Profit from 10000 $ we have 9054 $ not good
1 Loss , 2 Profit from 10000$ we have 178208209 $ in condition we can trade with unlimited lot but I do not know the broker that allow it if we accept max lot is 10000 after 23 trade we have 39271161 $ and after that lot can not more than 10000
but if we trade based on
statistic significant numbers for 30%/250% :
after 10 trade
1 Loss , 1 Profit from 10000 $ we have 882735 $
2 Loss , 1 Profit from 10000 $ we have 35309 $ acceptable
1 Loss , 2 Profit from 10000 $ we have 4413676 $
In WORST CONDITION
after 100 trade
3 Loss , 1 Profit from 10000 $ we have 963949 $ acceptable
All these trades is unique and like together and consist of some defined elements,
That means when we trade with 10000$ balance or one million $ both is the same and the stress is same
of course some dynamic elements also exist and more important that after 60 point profit max loss is 0 and we have stressless trade,
about trading or managing accounts I do not know the procedure, because I haven't done this before,
Please let me know what is that.
Best Regards,
Mohammad
Small drawdown is what I look for in over ten years that I trade, and also statistic significant numbers
I trade based on trend, sometimes a kind of my trades long to one or two weeks or even more ,
time parameter it is not important for me, only I think of safety of deposit
2 way for P/L : 30%/110% another 30%/250%
statistic significant numbers for 30%/110% :
after 28 trade
1 Loss , 1 Profit from 10000 $ we have 2200101 $
2 Loss , 1 Profit from 10000 $ we have 9054 $ not good
1 Loss , 2 Profit from 10000$ we have 178208209 $ in condition we can trade with unlimited lot but I do not know the broker that allow it if we accept max lot is 10000 after 23 trade we have 39271161 $ and after that lot can not more than 10000
but if we trade based on
statistic significant numbers for 30%/250% :
after 10 trade
1 Loss , 1 Profit from 10000 $ we have 882735 $
2 Loss , 1 Profit from 10000 $ we have 35309 $ acceptable
1 Loss , 2 Profit from 10000 $ we have 4413676 $
In WORST CONDITION
after 100 trade
3 Loss , 1 Profit from 10000 $ we have 963949 $ acceptable
All these trades is unique and like together and consist of some defined elements,
That means when we trade with 10000$ balance or one million $ both is the same and the stress is same
of course some dynamic elements also exist and more important that after 60 point profit max loss is 0 and we have stressless trade,
about trading or managing accounts I do not know the procedure, because I haven't done this before,
Please let me know what is that.
Best Regards,
Mohammad
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