Opus 02 (에 의해 katajikenai)

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Opus 02 토론

Jan 31, 2017 at 02:31
278 개의 뷰
1 Replies
Jun 09, 2013 부터 멤버   게시물13
Oct 31, 2017 at 15:49
Twitter
https://twitter.com/TKH_SA
Here we mainly inform you of the closing position.
Long-term analysis and Reproducibility
Jun 09, 2013 부터 멤버   게시물13
Nov 29, 2017 at 15:45
■ 'Opus 02' Explanation about EA logic
This signal is composed of trend follow swing, 24 hour short term, 24 hour reverse tension short term, Asian time short term, breakout logic EA. It is fully automatic trading, and we do not conduct transactions manually.
Each EA has cleared the backtest at spread 3 pips from January 1999 to May 2017. However, XAU/USD has cleared the back test verification at 50 pips from 2004 to 2017.
The backtest and the forwardtest of each EA generally agree.
The logic of each EA is completely independent. Even in the case of receiving all positions with the same lot number (the less it is less than the recommended margin, the closer you get to such a state), the longer you get a certain profitability. However, in that case, the wave of the profit and loss graph may become even rougher.
We will not stop the EA no matter when important indicators are announced, weekends or any other circumstances. EA logic that constitutes this signal is rather aimed at situations where the market fluctuates largely.

■ This signal differs from the author's different signal 'Opus 08' in the following points.
This signal uses 9 kinds of EA. 8 of them are different types of EA from the other signal 'Opus 08' (Even with the same breakout logic, for example, we use a different type of EA than 'Opus 08' used EA). The remaining one uses the same EA as 'Opus 08', but the TP parameter, the characteristics (the number of times of entry, the timing of taking a position) due to the difference in broker, and the length of the non-entry time zone are different.
EA, which carries out a reverse trend short-term trade, may have up to 8 positions once you start entry. This is the main part of this signal. It aims at returning at the time of a sudden change in the market price.
Variation of each lot number and position number is abundant overall. The number of lots of breakout logic is particularly large, and may have about 5 more positions. This is the main part of this signal, and it has a relationship that complements the disadvantages of both short-term EA and reverse tension.
Regarding short-term trading in Asian time, if the system determines that the market price is safe in statistical terms, it holds 1 position with a larger number of lots than the ordinary lot number.
Swing trade is entered with twice the normal number of lots, mainly when the trend of the market is strong.
Neither of the above will increase the number of lots after loss.
Please compare with 'Opus 08' in a longer term perspective (about one year unit). As a whole, the profit-and-loss graph tends to gradually rise and fall, and when the market fluctuates suddenly, the results tend to be large in the short term (the characteristics of Breakout Logic and resistance dealing 8 positions are large). The author intended to increase the instantaneous power at the expense of stability at the beginning of this signal delivery (before 'Opus 08' signal release). In this regard, look at the growth rate of actual operation in units of one month, please note that it is a minus month, a plus month repeating. This is the feature of 'Opus 02'.

■ Signal reception guidance
We recommend starting with an account fund of at least $1000 or more (in the case of leverage 1:300 account). For guidance on drawdown, please refer to data.
As long as there is one subscriber, this signal will continue indefinitely.
When choosing a broker, please select a broker worthy of trust that has low spread, strong order execution force, no withdrawal trouble etc. In addition, the change from the leverage 1:50 to the 1:300 early in this signal was made by the author's offer to raise the fund efficiency. Although it can not be said unconditionally, from a profitable point of view, good brokers offering real NDD accounts tend not to provide excessive leverage (not possible).

■ More information: https://www.mql5.com/en/users/takaho

■ History and memos
[Guidelines on this signal: reduce the roughness above and below the profit and loss graph, keep it at around 200% per year in the author account]
[Addition of EA from the beginning of this signal: 2] April 2017,September 25, 2017
[Change in breakdown of each EA lot number: 1] On November 28, 2017, we increased the number of lots of strong logic and reduced the lot number of slump logic.
[Change of each EA and other parameters: 0]
[Monitoring by author side broker: no abnormality]
[Use of the rebate program of the author side broker: in the account of the author ①commission ②spread ③contract performance not affected either]
※ The above ③ does not use the rebate program, it is necessary to always be monitored compared with the performance of the same logic under the same environment.
[Author page last update: November 28, 2017]
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Long-term analysis and Reproducibility
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