Info
Biografia:
Algorithmic trading specialist with a high focus on risk management.
My Portfolio accounts consist of many bots, each assigned with a particular risk based on its risk to reward ratio and maximum draw down of historical backtests.
All the bots running on my accounts are backtested on all market conditions starting from 2003 on real tick data and a huge data sample of trades resulting in return/maximum draw down of at least 5 with very low pair correlation, the equivalent of having many traders doing the work, each with a different pre assigned proven strategy and risk.
My Portfolio accounts consist of many bots, each assigned with a particular risk based on its risk to reward ratio and maximum draw down of historical backtests.
All the bots running on my accounts are backtested on all market conditions starting from 2003 on real tick data and a huge data sample of trades resulting in return/maximum draw down of at least 5 with very low pair correlation, the equivalent of having many traders doing the work, each with a different pre assigned proven strategy and risk.
Styl handlowania:
Patience. Persistence. Profit.
Motto:
Long term consistency over short term risk.
Doświadczenie | Więcej niż 5 lat |
Lokalizacja | - |
Poręczyciele | 0 |
Zarejestrowany | May 07 2018 at 12:46 |
Blocked Users | 0 |
Użytkownik nie napisał żadnego posta.
Wykres
Systemy
Imię | Zysk | Spadek depozytu | Pipsy | Handel | Dźwignia | Typ |
---|---|---|---|---|---|---|
Low risk: <5 bots / Max DD< 15% | 4.87% | 12.40% | 12068.7 | - | 1:500 | Rzeczywiste |
Medium risk: <30 bots / Max DD< 35% | 91.93% | 11.90% | 20169.5 | - | 1:500 | Rzeczywiste |
Low-Medium risk: <15 bots / Max DD< 25% | 47.37% | 12.95% | 54432.1 | - | 1:500 | Rzeczywiste |