Elixir (bei Inari)
Gewinn : | +34.45% |
Drawdown | 22.43% |
Pips: | 2871.4 |
Trades | 701 |
Gewonnen: |
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Verloren: |
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Typ: | Real |
Hebel: | - |
Trading: | Unbekannt |
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Elixir Diskussion
Jun 27, 2015 at 14:30
Mitglied seit Jun 17, 2015
42 Posts
Inari Partners are pleased to launch our Elixir Trading Algorithm.
The goal is to achieve long term good returns without frightening draw-downs.
In terms of returns we are looking at 30% net after fees with a max draw-down less than 2%
Our target clients are money managers, family offices and small funds
Our software in hosted in a data center
Inari Partners, based in London also have the the Reserve Pension model which has produced an average in excess of 9% net of fees over the last 13 years.
For more information check us out at www.inaripartners.com and get in touch...
The goal is to achieve long term good returns without frightening draw-downs.
In terms of returns we are looking at 30% net after fees with a max draw-down less than 2%
Our target clients are money managers, family offices and small funds
Our software in hosted in a data center
Inari Partners, based in London also have the the Reserve Pension model which has produced an average in excess of 9% net of fees over the last 13 years.
For more information check us out at www.inaripartners.com and get in touch...
market nobility
Jun 28, 2015 at 06:37
Mitglied seit Mar 02, 2014
20 Posts
Everyone knows first impressions are important. it can potentially determine whether you get something you want.
you are looking for partnership right?
i am here to find partnership too, i want partnership with a strong candidate talented trader to manage my funds.
at the first sight your system seem great with a little gain achievement, yes i am not looking a big profit account here..
what i am looking for is system safe, low risk and consistently.
but when i look at into your performance quickstats, surely it make me ilfeel.
this system is very risky i feel... 6 trades having gain only 0.58% with drawdown 0.64%???
what risk management you are using?
the ratio gain versus drawdown is very poor, this means from 6 trades you only get average 0.0966% gain??? and you make a risk 0.64%???
what is it? 0.09 gain versus 0.64 risk? that is 9:64 or 1:7 ratio.
7% risk to get 1% gain????
you are looking for partnership right?
i am here to find partnership too, i want partnership with a strong candidate talented trader to manage my funds.
at the first sight your system seem great with a little gain achievement, yes i am not looking a big profit account here..
what i am looking for is system safe, low risk and consistently.
but when i look at into your performance quickstats, surely it make me ilfeel.
this system is very risky i feel... 6 trades having gain only 0.58% with drawdown 0.64%???
what risk management you are using?
the ratio gain versus drawdown is very poor, this means from 6 trades you only get average 0.0966% gain??? and you make a risk 0.64%???
what is it? 0.09 gain versus 0.64 risk? that is 9:64 or 1:7 ratio.
7% risk to get 1% gain????
Jun 28, 2015 at 08:53
Mitglied seit Jun 17, 2015
42 Posts
Hi Billy,
I appreciate your comments, the system operates different strategies depending on what it deems the underlying market condition to be i.e. ranging , trending etc. It applies different entry and exit rules and set max draw down on a trade by trade basis. It downloads data on a tick by tick basis and from time to time it will identify a market moving from a trending to a ranging scenario and vice-a-versa. At this point it will then re-access the profit and draw down limits and apply them to the trade in progress. The exit strategies are keep on our servers and not place visibly in the market to avoid stop hunting. There is very little data on this site as yet but as we move forward you will see higher profits being taken in confirmed trending market conditions and so forth.
For now it is performing in line with expectations - please continue to watch and let me know your thoughts in a week or two
Regards
Sean
I appreciate your comments, the system operates different strategies depending on what it deems the underlying market condition to be i.e. ranging , trending etc. It applies different entry and exit rules and set max draw down on a trade by trade basis. It downloads data on a tick by tick basis and from time to time it will identify a market moving from a trending to a ranging scenario and vice-a-versa. At this point it will then re-access the profit and draw down limits and apply them to the trade in progress. The exit strategies are keep on our servers and not place visibly in the market to avoid stop hunting. There is very little data on this site as yet but as we move forward you will see higher profits being taken in confirmed trending market conditions and so forth.
For now it is performing in line with expectations - please continue to watch and let me know your thoughts in a week or two
Regards
Sean
market nobility
Jul 23, 2015 at 15:53
Mitglied seit Jun 17, 2015
42 Posts
For those following: -
The model is now actively trading UK Oil, Spot Gold and the Dow 30...
Gradually we will introduce a greater range of indices and commodities but at this stage we are just starting out with products that are known to us.
We have also moved servers to a new data center which will hopefully reduce transactions round robin time
Sean
The model is now actively trading UK Oil, Spot Gold and the Dow 30...
Gradually we will introduce a greater range of indices and commodities but at this stage we are just starting out with products that are known to us.
We have also moved servers to a new data center which will hopefully reduce transactions round robin time
Sean
market nobility
forex_trader_186239
Mitglied seit Apr 15, 2014
224 Posts
Aug 23, 2015 at 06:19
Mitglied seit Apr 15, 2014
224 Posts
chanbill posted:
Everyone knows first impressions are important. it can potentially determine whether you get something you want.
you are looking for partnership right?
i am here to find partnership too, i want partnership with a strong candidate talented trader to manage my funds.
at the first sight your system seem great with a little gain achievement, yes i am not looking a big profit account here..
what i am looking for is system safe, low risk and consistently.
but when i look at into your performance quickstats, surely it make me ilfeel.
this system is very risky i feel... 6 trades having gain only 0.58% with drawdown 0.64%???
what risk management you are using?
the ratio gain versus drawdown is very poor, this means from 6 trades you only get average 0.0966% gain??? and you make a risk 0.64%???
what is it? 0.09 gain versus 0.64 risk? that is 9:64 or 1:7 ratio.
7% risk to get 1% gain????
Billy is right but to achieve such a performance is a very big task !
Aug 31, 2015 at 18:27
Mitglied seit Jun 17, 2015
42 Posts
Look009 posted:
Billy is right but to achieve such a performance is a very big task !
I think that his comments were a wee bit premature. In his defense they were made after only 6 trades had been made and draw down was close to gain - however now, after a couple of months and over 350 trades hit rates remain in the region of 80% - and draw down of 13% is reduced to a draw down of 8% in non-FX trades are removed.
The system has stabilised well and is handling ranging and trending markets comfortably and is up in profit close to 70%. We will see how it pans but over the next months but interest has been growing steadily so i shouldn't complain.
Sean
market nobility
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