SteadyCapture 2x (former FX Viper) (By NickMcDonald)
Прибыль : | +256.49% |
Просадка | 56.04% |
Пипс: | 53086.3 |
Сделки | 3238 |
Выигрыш: |
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Потери: |
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Тип: | Реальный |
Кредитное плечо: | 1:500 |
Трейдинг: | Вручную |
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SteadyCapture 2x (former FX Viper) Обсуждение
Участник с Oct 27, 2011
59 комментариев
Apr 15, 2014 at 08:42
Участник с Oct 27, 2011
59 комментариев
I'm doing an interview and documentary with this trader. Check out the short trailer on our site :)
http://www.forexsignals.com/forum/showthread.php/301-Nick-s-Documentary-and-Interview-with-FX-Viper
http://www.forexsignals.com/forum/showthread.php/301-Nick-s-Documentary-and-Interview-with-FX-Viper
Find your passion and work hard
Участник с Aug 08, 2011
22 комментариев
Участник с Sep 07, 2012
43 комментариев
May 04, 2014 at 17:00
Участник с Sep 07, 2012
43 комментариев
These open trades are interesting to see . I thought the same would happen after good NFP numbers. Euro is going down in any case, soon if not at the start of the week
Carpe diem
Участник с Sep 07, 2012
43 комментариев
May 08, 2014 at 21:13
Участник с Sep 07, 2012
43 комментариев
K, Mr. Draghon took care of Euro there. Not so sure about usd/cad tho
Carpe diem
Участник с Oct 27, 2011
59 комментариев
May 09, 2014 at 07:20
Участник с Oct 27, 2011
59 комментариев
We're not concerned, the recent move is likely to retrace based on fundamentals according to the trader.
This is nothing we haven't seen before.
This is nothing we haven't seen before.
Find your passion and work hard

forex_trader_29148
Участник с Feb 11, 2011
1768 комментариев
Участник с Oct 27, 2011
59 комментариев
Jan 22, 2016 at 03:59
Участник с Oct 27, 2011
59 комментариев
Rob559 - No, he doesn't use a fixed stop. He cuts trades based on what's happening in the market, just like we saw yesterday when he cut a USDCAD trade after holding it for an extended period of time.
Find your passion and work hard

forex_trader_95486
Участник с Oct 17, 2012
29 комментариев
May 21, 2016 at 17:27
Участник с Oct 17, 2012
29 комментариев
Hi Nick I am wondering whether he is also creator of this EA sold at MQL https://www.mql5.com/en/market/product/9591#full_description
I noticed that 3 trades still opened since Jan and all went beyond 400 pips negative, how do you define a good risk? 😇
If there is enuf balance anybody can buy an EA that performs average and hold till it turns. In this case master acct is 100k and open trade is total of 2.25. If this is a trade copy service a subscribe will be locked into subscription in order not to lose $$$ by killing trades and trying to stay afloat despite being low dd to master acct. DD=3032pips assume lowest lot size of 0.01 for 11 opened positions thats abt $300 dd. The margin used would be abt $200-250 (for 1lot)*11 *0.01==>$22-$25 based on leverage of 500
Assume its a 1k acct, mt4 should report, eg
Balance=1k, equity=$700, margin used=$22, margin level=3181.81%. It wont encounter margin call or stop out. But I am sure confused how its a trading system/strategy that kept trades opened since Jan (and its now May 2016) defined as low risks? Base on margin level its low risk, base on trader's definition of how risks have been managed vs gains/potential losses I will rate this as below average. If assume I have invested this $300 into another signal I could have gain more than what I am forced to hold onto
Sorry that I sounded sarcastic and negative. This is just my personal thoughts. If trader claims that he is author of the EA, yet your investigation shows that this EA sold in MQL lis the same as traded by trader, its high time to reexamine your high gate 😂
I noticed that 3 trades still opened since Jan and all went beyond 400 pips negative, how do you define a good risk? 😇
If there is enuf balance anybody can buy an EA that performs average and hold till it turns. In this case master acct is 100k and open trade is total of 2.25. If this is a trade copy service a subscribe will be locked into subscription in order not to lose $$$ by killing trades and trying to stay afloat despite being low dd to master acct. DD=3032pips assume lowest lot size of 0.01 for 11 opened positions thats abt $300 dd. The margin used would be abt $200-250 (for 1lot)*11 *0.01==>$22-$25 based on leverage of 500
Assume its a 1k acct, mt4 should report, eg
Balance=1k, equity=$700, margin used=$22, margin level=3181.81%. It wont encounter margin call or stop out. But I am sure confused how its a trading system/strategy that kept trades opened since Jan (and its now May 2016) defined as low risks? Base on margin level its low risk, base on trader's definition of how risks have been managed vs gains/potential losses I will rate this as below average. If assume I have invested this $300 into another signal I could have gain more than what I am forced to hold onto
Sorry that I sounded sarcastic and negative. This is just my personal thoughts. If trader claims that he is author of the EA, yet your investigation shows that this EA sold in MQL lis the same as traded by trader, its high time to reexamine your high gate 😂
Участник с Mar 03, 2016
14 комментариев
May 22, 2016 at 06:48
Участник с Mar 03, 2016
14 комментариев
https://www.myfxbook.com/members/RUNrajaRUN/smartrobo/1630453
good ea awesome profits
good ea awesome profits
Raise yourself to help man kind
Участник с Mar 03, 2016
14 комментариев
May 22, 2016 at 06:48
Участник с Mar 03, 2016
14 комментариев
safe martingale ea with nice profits works on GBP-USD effectively
Raise yourself to help man kind
Участник с Aug 13, 2016
3 комментариев
Aug 25, 2016 at 05:49
Участник с Aug 13, 2016
3 комментариев
The return & win rate on this account is truly exceptional. I would like to see you interviewed for forexsignals too! I think they would love you ;0
Участник с Sep 09, 2012
42 комментариев
Oct 29, 2017 at 07:42
Участник с Sep 09, 2012
42 комментариев
Great performance. Congratulations from Germany.
I love trading.

*Коммерческое использование и спам не допускаются и могут привести к аннулированию аккаунта.
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