RedRhinoFX 1Algo Managed (By forex_trader_165856)
Пользователь удалил эту систему.
Edit Your Comment
RedRhinoFX 1Algo Managed Обсуждение

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Jun 22, 2015 at 16:31
Участник с Dec 03, 2013
599 комментариев
Lmax has good spreads on EURUSD - With some simple coding we will enter at the average spread on EURUSD and the system works well. Here are the spreads monitored over 24hours including the FOMC and interest rate decision -http://redrhinofx.com/lmax-eurusd-spread/

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Jul 03, 2015 at 18:27
Участник с Dec 03, 2013
599 комментариев
Off to a good start at LMAX.

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Jul 06, 2015 at 19:12
Участник с Dec 03, 2013
599 комментариев
Today +4.62% (1.8% floating)
Pips 1408.00
Best Trade 4.2 pips in 6 seconds
2nd Best Trade 5.8 pips in 33 seconds
3nd Best Trade 4.3 pips in 36 seconds
Feature in process: Partial close to increase overall pip gains.
Fundamental Trend Following: Sell the EURO ( Greece No Vote) , USD weakness ( ISM Non-Manufacturing PMI 56.00 under consensus) , Side ways range:
Pips 1408.00
Best Trade 4.2 pips in 6 seconds
2nd Best Trade 5.8 pips in 33 seconds
3nd Best Trade 4.3 pips in 36 seconds
Feature in process: Partial close to increase overall pip gains.
Fundamental Trend Following: Sell the EURO ( Greece No Vote) , USD weakness ( ISM Non-Manufacturing PMI 56.00 under consensus) , Side ways range:

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Jul 14, 2015 at 05:35
Участник с Dec 03, 2013
599 комментариев
Monday +4.1% ( 0.5% floating)
Pips 1937.70
Fundamental Trend Following: Sell the EURO ( Greece Bailout meets parliament - resignation of PM)
Economical Releases: CPI Germany + Retail Sales USA
Pips 1937.70
Fundamental Trend Following: Sell the EURO ( Greece Bailout meets parliament - resignation of PM)
Economical Releases: CPI Germany + Retail Sales USA
Участник с Jun 01, 2015
39 комментариев
Jul 22, 2015 at 06:49
Участник с Jun 01, 2015
39 комментариев
Any updates? notice it stop updating on july 15
Work Hard Play Hard... Signal App(Google Play Store):

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Jul 22, 2015 at 07:21
Участник с Dec 03, 2013
599 комментариев
Updated today. I also tried a few other pairs, USDCAD, GBPJPY, AUDUSD, NZDUSD

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Jul 23, 2015 at 15:27
Участник с Dec 03, 2013
599 комментариев

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Jul 28, 2015 at 15:36
Участник с Dec 03, 2013
599 комментариев
This Month +64.41%
Ready to enjoy the moment.
Ready to enjoy the moment.

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Aug 01, 2015 at 07:44
Участник с Dec 03, 2013
599 комментариев
new code coming out this week. Found some improvements with the strategy 3+4
Участник с Apr 16, 2011
35 комментариев
Aug 02, 2015 at 13:19
Участник с Apr 16, 2011
35 комментариев
thanks for the update. will any of these improvements significantly reduce draw down without adversely affecting profitability??

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Aug 04, 2015 at 09:07
Участник с Dec 03, 2013
599 комментариев
Yes, all improvements has decreased potential drawdown. Profitability maybe affected but with lower drawdown limits we can adjust lotsizing and that can be increased.
Today near 1% gain and very low drawdown.
Today near 1% gain and very low drawdown.
Участник с Jan 03, 2014
218 комментариев
Aug 05, 2015 at 20:45
Участник с Jan 03, 2014
218 комментариев
i find that~Gain:79.39% BUT Absolute Gain:9.5%<<<<<<<<
i guess that when account was in big DD,you put more deposit, so that in the myfxbook we see a small DD,but low Absolute Gain:9.5% ,in fact is much more biger dd?
i guess that when account was in big DD,you put more deposit, so that in the myfxbook we see a small DD,but low Absolute Gain:9.5% ,in fact is much more biger dd?

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Aug 05, 2015 at 22:13
Участник с Dec 03, 2013
599 комментариев
Участник с Jun 01, 2015
39 комментариев
Aug 06, 2015 at 06:36
Участник с Jun 01, 2015
39 комментариев
goode posted:
i find that~Gain:79.39% BUT Absolute Gain:9.5%<<<<<<<<
i guess that when account was in big DD,you put more deposit, so that in the myfxbook we see a small DD,but low Absolute Gain:9.5% ,in fact is much more biger dd?
good question i also notice this observation.
Work Hard Play Hard... Signal App(Google Play Store):

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Aug 06, 2015 at 06:50
Участник с Dec 03, 2013
599 комментариев
Участник с Jan 03, 2014
218 комментариев
Aug 06, 2015 at 07:09
Участник с Jan 03, 2014
218 комментариев
1,ok,that's your account or other client's?
i never saw a vendor use such a big standard account.
4.79lot eurusd -558.50 pips gain -0.42%
1 lot eurusd 1 pips is 10 usd,so 4.79lot -558.5pips is 558.5*10*4.79=26752.15 usd
so the balacen is $26752.15 \ 0.42%=6369559$, 6 million $ 😲😲😲,right?

2,and for such a big account,how to control the risk? as i know the viper ea is design from the famours signal vper,some months ago i have send e-mail to you and ask you analysis the strategy of viper. You do some improvements and add as a small distance grid/martingale,how to avoid risk? i don't think every time you are always good luck.
i never saw a vendor use such a big standard account.
4.79lot eurusd -558.50 pips gain -0.42%
1 lot eurusd 1 pips is 10 usd,so 4.79lot -558.5pips is 558.5*10*4.79=26752.15 usd
so the balacen is $26752.15 \ 0.42%=6369559$, 6 million $ 😲😲😲,right?

2,and for such a big account,how to control the risk? as i know the viper ea is design from the famours signal vper,some months ago i have send e-mail to you and ask you analysis the strategy of viper. You do some improvements and add as a small distance grid/martingale,how to avoid risk? i don't think every time you are always good luck.

forex_trader_165856
Участник с Dec 03, 2013
599 комментариев
Aug 06, 2015 at 07:25
Участник с Dec 03, 2013
599 комментариев
no martingale , it is anti martingale with setting Professional_MM = true. Martingale is an option but I don't use it. I normally use Fixed lots or Professional_MM. Grid can be fixed or dynamic. The distance between orders can be any value. the manual trader Viper only has 1 strategy. My system uses his strategy but also uses other strategies. The system currently has 4 strategies and I am working on a 5th. The system controls risk automatically

Участник с Nov 02, 2012
17 комментариев
Aug 16, 2015 at 22:08
Участник с Nov 02, 2012
17 комментариев
Hi
I have sent several PMs to your other (prior) FX Viper thread but no reply. Could you review and reply? - Thanks
I have sent several PMs to your other (prior) FX Viper thread but no reply. Could you review and reply? - Thanks

*Коммерческое использование и спам не допускаются и могут привести к аннулированию аккаунта.
Совет: Размещенные изображения или ссылки на Youtube автоматически вставляются в ваше сообщение!
Совет: введите знак @ для автоматического заполнения имени пользователя, участвующего в этом обсуждении.