Robo Manager VB Masaniello (Closed) (에 의해 forex_trader_247589)
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Robo Manager VB Masaniello (Closed) 토론

forex_trader_247589
May 06, 2015 부터 멤버
게시물3
Jun 10, 2015 at 17:47
May 06, 2015 부터 멤버
게시물3
https://www.mql5.com/en/signals/106862
This is a long term signal with very low exposure and conservative settings. We prefer safety and stability to big returns. The winning percentage is of about 57% tested on 15 years of historical data and on real account. The entry signal is given by a breakout of volatility. Maximum one open position in total. Only EURUSD.
The risk / reward ratio is fixed at 1: 1.20 but SL / TP are calculated dynamically based on the volatility of the moment.
This system uses a sophisticated method of money management based on a binomial distribution called "Masaniello". The goal is to have the best control over exposure and know exactly when and how much to lose or gain.
The money management "Masaniello" calculates the lots of a number of "n" trades of which we believe we are capable of winning AT LEAST "k" events (with 0 <= k <= n), assuming that the distribution of events is of random type with probability for each event to be successful equal to p, and q = 1 - p to be wrong. Actually parameters are n = 6 and k = 3. This means that we have to gain 3 times out of 6 for a winning cycle and losing 4 times out of 6 for a losing cycle. The risk is fixed to 5% of the balance for every cycle. So we know exactly what is the maximal loss no matter what the market conditions.
This is a long term signal with very low exposure and conservative settings. We prefer safety and stability to big returns. The winning percentage is of about 57% tested on 15 years of historical data and on real account. The entry signal is given by a breakout of volatility. Maximum one open position in total. Only EURUSD.
The risk / reward ratio is fixed at 1: 1.20 but SL / TP are calculated dynamically based on the volatility of the moment.
This system uses a sophisticated method of money management based on a binomial distribution called "Masaniello". The goal is to have the best control over exposure and know exactly when and how much to lose or gain.
The money management "Masaniello" calculates the lots of a number of "n" trades of which we believe we are capable of winning AT LEAST "k" events (with 0 <= k <= n), assuming that the distribution of events is of random type with probability for each event to be successful equal to p, and q = 1 - p to be wrong. Actually parameters are n = 6 and k = 3. This means that we have to gain 3 times out of 6 for a winning cycle and losing 4 times out of 6 for a losing cycle. The risk is fixed to 5% of the balance for every cycle. So we know exactly what is the maximal loss no matter what the market conditions.

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