SunnyDays trader's profile
信息
姓名 | Wayne |
个人简历:
I have spent over 5 years and thousands of dollars struggling to develop EAs and a single strategy that can profit over various market conditions as evidenced by a minimum ten year backtest. IMO, to profit on backtesting only means you have a chance to profit in live trading.
I had to greatly modify my goals and expectations in terms of profit - going from a strategy that could produce 100% + return per year (but in backtesting potentially crash an account in certain years) to a strategy that could produce 1-10% return per month but only have 20% dd over a 12 year backtest.
This is the strategy I now go with and I believe this approach will stand the test of time and will ultimately attract large funds to my managed accounts. Being a large fund money manager and CTA is my goal.
I had to greatly modify my goals and expectations in terms of profit - going from a strategy that could produce 100% + return per year (but in backtesting potentially crash an account in certain years) to a strategy that could produce 1-10% return per month but only have 20% dd over a 12 year backtest.
This is the strategy I now go with and I believe this approach will stand the test of time and will ultimately attract large funds to my managed accounts. Being a large fund money manager and CTA is my goal.
交易风格:
My EAs and strategies can be incredibly complex but, in short, I trade off of short term momentum aligned with longer term momentum. Emas, trendlines, time windows, breakouts, pullbacks, etc. are all part of the EA. I won't use martingale systems. My strategy is to trade with only 2 or 3 of my best pairs, limiting trade size to a precise formula developed from 12 year backtests in which i determine risk based on a max 20% draw down result derived from long term backtests.
格言:
A strategy must significantly profit in a 10 year backtest to have a chance in Live trading - Mine Does!
资深 | 超过5年 |
位置 |
担保人 | 2 |
已注册 | Feb 20 2010 at 09:20 |
被封锁的用户 | 1 |
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图表
Systems by SunnyDays
姓名 | 收益 | 缩减 | 点 | 交易 | 杠杆率 | 类型 |
---|---|---|---|---|---|---|
Former MANAGED Account | 41.61% | 12.33% | 1097.9 | 自动的 | 1:50 | 真实 |
MANAGED ATC | -15.26% | 22.01% | -278.1 | 混合 | 1:50 | 真实 |
在 MANAGED ATC 中
Aug 05 2012 at 05:15
在 MANAGED ATC 中
Jul 01 2012 at 21:26
在 PROBABILITY OF DRAW DOWN SPEED中
Jun 19 2012 at 06:28
在 MANAGED ATC 中
Jun 02 2012 at 06:02