Чтобы пользоваться чатом, пожалуйста, войдите в систему
Обратно к контактам

ORD-equity Alpari RU - Risk 3 Times (By ORD Equity )

Прибыль : +350.86%
Просадка 30.85%
Пипс: -3805.6
Сделки 1209
Выигрыш:
Потери:
Тип: Реальный
Кредитное плечо: 1:500
Трейдинг: Автоматически

ORD-equity Alpari RU - Risk 3 Times Обсуждение

ORD Equity (ORDExhaust)
Apr 22 at 23:15
140 комментариев
this is the other account with 3 times risk than https://www.myfxbook.com/community/trading-systems/ord-equity/2670044,1

1st week trade we already in 31% profit position

more detail about the system we posted in the link above

ORD Equity (ORDExhaust)
Apr 25 at 20:39
140 комментариев
Reversal Entry Trading System,
Since 2011
80% Technical, 20% Fundamental
That always Adapt to Latest Market Condition



The System Always updated with walkforward analysis, and the Results is Beyond Our Expectation
The Break Even Point That we targeted in 4 month with surpressed Drawdon,

No Grid No Martingale
Just Individual TP and SL

Our Target Predicted Dailly Gain 1-3 percent
With maxed Equity DD or Cutloss in 15 Percent

We Show, Not Tell


You Must Use Low Spread ECN or STP Broker,
Any other that EURUSD average dailly under 1.5 Pips is more than better

Happy Trading



Update 4/23/21

Thanks God,
We are in position of : 75% Gain in 5 weeks, Drawdown keept under 10%
Much faster than we predicted,

Since we area keept evolve and adapt our algorhytm
New System and Strategies Keep beeing monitored and evaluated on DAILLY BASIS Now

We adding more diversifitation smoothly with new self learning machine algo, and also doin walkforward analysist on Dailly Bassis
So we adding few more curency pair like EURCAD, EURNZD, USDCHF, that not correlated with our old system
Thus the old system keep beeing revised continuilly, Wich perform good we keept adding position with a bit higher risk. While the lower perform we keept running with lower risk, while maintaining the self learning and walkforward until we satisfied.

The End Results is, we keep pushing the equity drawdonw lower, while Equity Curve Smoother in REAL LIFE TRADING

Best Whish

ORD Equity (ORDExhaust)
Apr 27 at 05:27
140 комментариев
1.1% profit for this day session



Slow range market, only few curency pairs opened trade

and some pairs trade for BEP



but a profits is always a profit



See you tomorow

ORD Equity (ORDExhaust)
Apr 27 at 16:27
140 комментариев
ORD Equity (ORDExhaust)
Apr 29 at 22:24
140 комментариев
We close this week with Good Moderate Profit,
Not Big Boombastic like last week.

Im assuring to keep the trade going even we had FOMC and Joe Bidden Speech during our trading window.
But with lot safer risk, that eventually still consistenly growth our equity.

See you next week.

Happy Trading,
Happy Profits

ORD Equity (ORDExhaust)
Apr 29 at 23:20
140 комментариев
Im confidence and happy, since Break event point equity growht is much faster thatn i predicted.
My montecarlo analysist and Porftfolio analysyst with walkforward showing, BEP would be in arround 4 month. But we already there with few profit soon

We close this week with Good Moderate Profit
Not Big Boombastic like last week

1. Im assuring to keep the trade going even we had FOMC and Joe Bidden Speech during our trading window.
But with lot SAFER RISK, that eventually still consistenly growth our equity.
2. I am aiming more moderate approach for risk portfolio, if you can see, im using smaller lot than last week. So Many USD big News this week, but i had more confidence, to running longger pips with smaller risk, and wich pair to keep going during US HOT NEWS, it will be much potential than before.
so the drawdown is suppressed much lower.
3. And since next week, only AUD and NZD news that get hot RED
So we could trade more and much that this week.



Happy Trading,
Happy Profits

ORD Equity (ORDExhaust)
Apr 30 at 23:39
140 комментариев
Dear traders, and investors.
The next week, we will revisited more Safe and profitable Strategy Portfolio

We are focusing More pair that made most profits, while anihilating pairs that didnt profitable or had potential BIG DD.
Like EURCAD or EURNZD, or EVEN GBPUSD that easily moved wild because its USD related. That we know USD is getting shaken real bad from the FEDS decision last few weeks.

You will see more rarea trades, but when it Comes to trade, it would be a HEAD SHOT with bigger Volume

The USD related Pair wil be used more rarely after our Fundamental Analytic system reoptimized to adapt with this USA condition.

Some non USD pair also effected, like EURCAD or EURNZD, since eurusd usually corelated direct with USD news.

Now we going to run only 5 focused cureny with bigger lot.
But We will back comencing multiple 12 curency trades in another 10-15 days.


Keep safe and more profits.

ORD Equity (ORDExhaust)
May 03 at 03:06
140 комментариев
Im going to made it clear one more TIMES
I WILL NEVER SELL MY EA

And this is not Leave for Sleep Trading System that running automatedly,
This EA just a Tools for me, to help me maintain 8-12 curency running.

But im the one who decide when to exit by the EA logic, or if i see there is ennough profit for the day within the price action and range.
I will close the trade by my self, with my own analytical fundamentally and technically decission

ORD Equity (ORDExhaust)
May 04 at 02:36
140 комментариев
Oh ya, this is the trade journey of last few weeks (late post)

30.04.2021
Risk adjustment Weeks, and Quoestion: minor losses
Im confidence and happy, since Break event point equity growht is much faster thatn i predicted. My montecarlo analysist and Porftfolio analysyst with walkforward showing, BEP would be in arround 4 month. But we already there with few profit soon We close this week with Good Moderate Profit Not Big Boombastic like last week 1. Im assuring to keep the trade going even we had FOMC and Joe Bidden Speech during our trading window. But with lot SAFER RISK, that eventually still consistenly growth our equity. 2. I am aiming more moderate approach for risk portfolio, if you can see, im using smaller lot than last week. So Many USD big News this week, but i had more confidence, to running longger pips with smaller risk, and wich pair to keep going during US HOT NEWS, it will be much potential than before. so the drawdown is suppressed much lower. 3. And since next week, only AUD and NZD news that get hot RED So we could trade more and much that this week. Happy Trading, Happy Profits




03.05.2021

STRATEGY UPDATED - PORFOLIO FOCUS AND RISK LOWER
Dear traders, and investors. The next week, we will revisited more Safe and profitable Strategy Portfolio We are focusing More pair that made most profits, while anihilating pairs that didnt profitable or had potential BIG DD. Like EURCAD or EURNZD, or EVEN GBPUSD that easily moved wild because its USD related. That we know USD is getting shaken real bad from the FEDS decision last few weeks. You will see more rarea trades, but when it Comes to trade, it would be a HEAD SHOT with bigger Volume The USD related Pair wil be used more rarely after our Fundamental Analytic system reoptimized to adapt with this USA condition. Some non USD pair also effected, like EURCAD or EURNZD, since eurusd usually corelated direct with USD news. Now we going to run only 5 focused cureny with bigger lot. But We will back comencing multiple 12 curency trades in another 10-15 days. Keep safe and more profits.




not much pair, but focused on profitable pairs
Hello traders, investors Happy Profits, As I mentioned before last week. This time i will focused on most profitable curency pairs only, with more predicted risk As you see, we only trade few pairs but with bigger lot. a smaller lot that you see, is a trial of our new algo, and its matched with the old profitable one. The most revolutionary of our system is about the fundamental analysis things. Its more accurately predicted the way of the trade than before. So, stay chill. As I mentioned always. This Algorhytm is always Adapt the current market condition Fundamentaly and Technicall
03.05.2021

STRATEGY UPDATED - PORFOLIO FOCUS AND RISK LOWER
Dear traders, and investors. The next week, we will revisited more Safe and profitable Strategy Portfolio We are focusing More pair that made most profits, while anihilating pairs that didnt profitable or had potential BIG DD. Like EURCAD or EURNZD, or EVEN GBPUSD that easily moved wild because its USD related. That we know USD is getting shaken real bad from the FEDS decision last few weeks. You will see more rarea trades, but when it Comes to trade, it would be a HEAD SHOT with bigger Volume The USD related Pair wil be used more rarely after our Fundamental Analytic system reoptimized to adapt with this USA condition. Some non USD pair also effected, like EURCAD or EURNZD, since eurusd usually corelated direct with USD news. Now we going to run only 5 focused cureny with bigger lot. But We will back comencing multiple 12 curency trades in another 10-15 days. Keep safe and more profits.

Пожалуйста, войдите в систему, чтобы комментировать .