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Comparing Demo Performance with Live Performance.
Membro Desde Apr 20, 2010
808 posts
Aug 12, 2010 at 11:47
Membro Desde Apr 20, 2010
808 posts
12 Aug'10 : Self Destruction
Having an eye monitoring your EA trade is not a good thing. Emotion control which I can not bear to watch the draw down and add Equity Protection to safe guard $500. And also attempt manual trade to cover the lose lead to loss. Total loss include suppose to gain = $276.16. Which if I wake up late and did not go check PC, my balance will be 712.92 or + 42.58%.
Evening also crash one time result the UsdJpy no trigger.
To offset the human factor ROI, need to add +55.23% of Self Destruction.

Having an eye monitoring your EA trade is not a good thing. Emotion control which I can not bear to watch the draw down and add Equity Protection to safe guard $500. And also attempt manual trade to cover the lose lead to loss. Total loss include suppose to gain = $276.16. Which if I wake up late and did not go check PC, my balance will be 712.92 or + 42.58%.
Evening also crash one time result the UsdJpy no trigger.
To offset the human factor ROI, need to add +55.23% of Self Destruction.

Information is Gold when come to organised.
Membro Desde Apr 20, 2010
808 posts
Aug 17, 2010 at 01:36
(editado Aug 17, 2010 at 01:40)
Membro Desde Apr 20, 2010
808 posts
17 Aug'10 : Offset Human Interruption; +55.23+38.68 = 93.91%
From 2nd week onward, the data feed to real account become slow, many trade only trigger halfway. And that trigger full tempt to get SL hit. And one time I close down the platform to delete all chart history and restart again, it miss one trigger of profit, probably data in chart still new not yet loaded all result miss trigger.

From 2nd week onward, the data feed to real account become slow, many trade only trigger halfway. And that trigger full tempt to get SL hit. And one time I close down the platform to delete all chart history and restart again, it miss one trigger of profit, probably data in chart still new not yet loaded all result miss trigger.

Information is Gold when come to organised.
Membro Desde Apr 20, 2010
808 posts
Aug 20, 2010 at 09:15
(editado Aug 20, 2010 at 09:15)
Membro Desde Apr 20, 2010
808 posts
20 Aug'10 update :
http://www.myfxbook.com/files/ForexSeeker/20Aug'10_Compare.png" class="img-responsive dont-change-dark" loading="lazy">
Information is Gold when come to organised.
Membro Desde Apr 20, 2010
808 posts
Aug 22, 2010 at 07:22
(editado Aug 22, 2010 at 07:25)
Membro Desde Apr 20, 2010
808 posts
Analysis Report : 22 Aug'10
1. Trigger most time same one first week, the 2nd week trigger has delay and sometimes faster; max 6 trade not trigger same.
2. Because of delay and early trigger between demo and real, result different result.
3. To eliminate the max 6 trade trigger problem, it can set to have 1 trigger of fix lot size.
By export the data Statement into Excel, I have isolate each trigger and put them into pip profit.
http://www.myfxbook.com/files/ForexSeeker/AnalysisReport22Aug'10.png" class="img-responsive dont-change-dark" loading="lazy">
1. Trigger most time same one first week, the 2nd week trigger has delay and sometimes faster; max 6 trade not trigger same.
2. Because of delay and early trigger between demo and real, result different result.
3. To eliminate the max 6 trade trigger problem, it can set to have 1 trigger of fix lot size.
By export the data Statement into Excel, I have isolate each trigger and put them into pip profit.
Information is Gold when come to organised.
Membro Desde Apr 20, 2010
808 posts
Aug 22, 2010 at 08:49
(editado Aug 22, 2010 at 08:55)
Membro Desde Apr 20, 2010
808 posts
Converting Chart 5 into 1 trade trigger by export data into Excel and isolate each trigger by taking only the first trade into pip.

One trigger trade will have a more conservative of profit and smaller draw down.
To max out the profit, 1 pip = $3.00 USD will have about 55% ROI, DD around 70%.
Seem like better deal using 1 trade trigger.

One trigger trade will have a more conservative of profit and smaller draw down.
To max out the profit, 1 pip = $3.00 USD will have about 55% ROI, DD around 70%.
Seem like better deal using 1 trade trigger.
Information is Gold when come to organised.
Membro Desde Apr 20, 2010
808 posts
Aug 31, 2010 at 14:38
Membro Desde Apr 20, 2010
808 posts

Chart 5 has gone crazy with many trigger on UsdChf on 31 Aug'10, while other demo has no such trigger.
Real Account has trigger same as Chart 1,2,3,4. Only Chart 5 did not know why it has extreme trigger.
Information is Gold when come to organised.
Membro Desde Sep 09, 2010
35 posts
Sep 14, 2010 at 10:13
(editado Sep 14, 2010 at 10:17)
Membro Desde Sep 09, 2010
35 posts
All i could say here is that there is much difference between demo trading and live trading, demo is just like you are in the dream word of trading know you can not die, even if you die in the dream, you can still wake up in the real world, but live trading is the real world, once you are dead, you are dead, so you have to plan ahead and see afar in other not to be obstructed in any danger, which means MONEY MANAGMENT in trading
Patient The Best Stractegy
Membro Desde May 06, 2010
41 posts
Sep 14, 2010 at 13:00
Membro Desde May 06, 2010
41 posts
If you manage your demo account in the same way you manage your live account, it means, you care much about your perforamnce and trading style than the money you are making, so you have a strong strategy, you are not gambling and this is a good point to succeed in trading.
Keys for forex success:PATIENCE and money management!
Membro Desde Mar 17, 2021
494 posts
Membro Desde Jul 23, 2020
816 posts

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