Cash Flow 150 Dollars (による MarcoStacc71)
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Cash Flow 150 Dollars 討論
Jan 18, 2016からメンバー
55 投稿
Jan 31, 2017 at 15:04
Jan 18, 2016からメンバー
55 投稿
Good morning and welcome to my trading system.
VERY IMPORTAWNT THINGS:
1) NO MARTINGALE NO HEDGE NO GRID NO BULLSHIT TRADING. PURE TECHNICAL (70%) AND FUNDAMENTAL (30%) ANALYSIS.
2) SYSTEM DESIGNED FOR DAILY PROFIT AND WITHDRAWAL
3) BALANCE IS MAINTAINED THE SAME DAILY
4) DEALS OPENED FOR ABOUT 4/6 HOURS, BUT SOMETIMES UP TO 2 DAYS
My accounts have the following progressive balance amount:
150$, 300$, 600$, 1200$ and so on.
Lot size is:
0.01 for 150$ balance
0.02 for 300$ balance
0.04 for 600$ balance
and so on
Profits are daily drawn from ALL tha accounts and deposited in the last one (the bigger one).
For that reason, only bigger account changes lot size, till balance-target.
As soon as the bigger one doubles the previous, a new account is created, and the process restart.
Choose signal accordingly to your balance, and do not exceed 100% multiplier.
If your account has higher leverage than 1:200, is welcome.
TRADING STYLE:
Average holding time is about 4/6 hours, but sometimes up to 2 days.
Technical analysis (70%) and fundamental analysis (30%)
Short trades: about 60%
Long trades: about 40%
There is no goal: first thing is balance preservation (check drawdown history reduction)
Market is entered via robot transmitting orders from an account to another.
In order to minimize slippage (very poor), I use a VPS at newyorkcityservers.com (latency 1ms).
COMPLETE PORTFOLIO ANALYSIS:
https://www.myfxbook.com/members/MarcoStacc71/manual-system/236965
Enjoy profit daily with me!
VERY IMPORTAWNT THINGS:
1) NO MARTINGALE NO HEDGE NO GRID NO BULLSHIT TRADING. PURE TECHNICAL (70%) AND FUNDAMENTAL (30%) ANALYSIS.
2) SYSTEM DESIGNED FOR DAILY PROFIT AND WITHDRAWAL
3) BALANCE IS MAINTAINED THE SAME DAILY
4) DEALS OPENED FOR ABOUT 4/6 HOURS, BUT SOMETIMES UP TO 2 DAYS
My accounts have the following progressive balance amount:
150$, 300$, 600$, 1200$ and so on.
Lot size is:
0.01 for 150$ balance
0.02 for 300$ balance
0.04 for 600$ balance
and so on
Profits are daily drawn from ALL tha accounts and deposited in the last one (the bigger one).
For that reason, only bigger account changes lot size, till balance-target.
As soon as the bigger one doubles the previous, a new account is created, and the process restart.
Choose signal accordingly to your balance, and do not exceed 100% multiplier.
If your account has higher leverage than 1:200, is welcome.
TRADING STYLE:
Average holding time is about 4/6 hours, but sometimes up to 2 days.
Technical analysis (70%) and fundamental analysis (30%)
Short trades: about 60%
Long trades: about 40%
There is no goal: first thing is balance preservation (check drawdown history reduction)
Market is entered via robot transmitting orders from an account to another.
In order to minimize slippage (very poor), I use a VPS at newyorkcityservers.com (latency 1ms).
COMPLETE PORTFOLIO ANALYSIS:
https://www.myfxbook.com/members/MarcoStacc71/manual-system/236965
Enjoy profit daily with me!
Dec 04, 2010からメンバー
1557 投稿
Feb 14, 2017 at 11:58
Dec 04, 2010からメンバー
1557 投稿
Can you explain how these 3 trades occurred with 0.00 lots? ?
02.07.2017 18:21 02.10.2017 19:52 GBPUSD Sell 0.00 1.24652 1.24652 0.0 0.00 3d 0.00%
01.24.2017 11:43 01.24.2017 11:43 GBPUSD Buy 0.00 1.24394 1.24394 0.0 0.00 12s 0.00%
01.23.2017 17:04 01.24.2017 21:59 EURUSD Sell 0.00 1.07332 1.07332 0.0 0.00 1d 0.00%
I have never seen trades of 0.00 lots before?
02.07.2017 18:21 02.10.2017 19:52 GBPUSD Sell 0.00 1.24652 1.24652 0.0 0.00 3d 0.00%
01.24.2017 11:43 01.24.2017 11:43 GBPUSD Buy 0.00 1.24394 1.24394 0.0 0.00 12s 0.00%
01.23.2017 17:04 01.24.2017 21:59 EURUSD Sell 0.00 1.07332 1.07332 0.0 0.00 1d 0.00%
I have never seen trades of 0.00 lots before?
Jan 18, 2016からメンバー
55 投稿
Dec 04, 2010からメンバー
1557 投稿
Feb 14, 2017 at 22:57
(編集済みのFeb 14, 2017 at 22:59)
Dec 04, 2010からメンバー
1557 投稿
MarcoStacc71 posted:I can't see how Darwinex could execute a trade on a real (or even a demo account for that matter) with lots size of 0.00 (how could a liquidity provider accept such a trade it's no exposure? So strange. never ever seen this on myfxbook before. If anyone else has any ideas how this could happen very interested to hear. Darwinex is FCA regulated and all. Marco you may like to check with Darwinex, I'm sure the answer would be very interesting. cheers
I don't know.... sorry sir.
Maybe a bug in my EA...
Jan 18, 2016からメンバー
55 投稿
Jan 18, 2016からメンバー
55 投稿
Feb 15, 2017 at 09:59
Jan 18, 2016からメンバー
55 投稿
aeronthomas posted:MarcoStacc71 posted:I can't see how Darwinex could execute a trade on a real (or even a demo account for that matter) with lots size of 0.00 (how could a liquidity provider accept such a trade it's no exposure? So strange. never ever seen this on myfxbook before. If anyone else has any ideas how this could happen very interested to hear. Darwinex is FCA regulated and all. Marco you may like to check with Darwinex, I'm sure the answer would be very interesting. cheers
I don't know.... sorry sir.
Maybe a bug in my EA...
I asked to my broker Darwinex.
They said to me it is due to my EA tansferring orders from an account to all the others. Nothing strange.
Dec 04, 2010からメンバー
1557 投稿
Feb 19, 2017 at 07:31
Dec 04, 2010からメンバー
1557 投稿
MarcoStacc71 posted:okay thanks for explanation. I will keep following on myfxbook for now, before making a decision. cheersaeronthomas posted:MarcoStacc71 posted:I can't see how Darwinex could execute a trade on a real (or even a demo account for that matter) with lots size of 0.00 (how could a liquidity provider accept such a trade it's no exposure? So strange. never ever seen this on myfxbook before. If anyone else has any ideas how this could happen very interested to hear. Darwinex is FCA regulated and all. Marco you may like to check with Darwinex, I'm sure the answer would be very interesting. cheers
I don't know.... sorry sir.
Maybe a bug in my EA...
I asked to my broker Darwinex.
They said to me it is due to my EA tansferring orders from an account to all the others. Nothing strange.
Dec 04, 2010からメンバー
1557 投稿
Mar 13, 2017 at 09:48
Dec 04, 2010からメンバー
1557 投稿
I see you have 17 open trades and drawdown increasing. Is there any equity protection on this signal for Drawdown amount (as I see your don't trade with Stop Losses? Is there a limit to number of open trades in total and open trades per pair? thanks.
Jan 18, 2016からメンバー
55 投稿
Jan 18, 2016からメンバー
55 投稿
Jan 18, 2016からメンバー
55 投稿
Mar 15, 2017 at 14:38
Jan 18, 2016からメンバー
55 投稿
simonk5 posted:System may be copied here:
your system is downloadable??
https://www.signalstart.com/analysis/cash-flow-150-dollars/16683
Sep 10, 2013からメンバー
54 投稿
Jan 18, 2016からメンバー
55 投稿
Sep 10, 2013からメンバー
54 投稿
Mar 20, 2017 at 09:48
Mar 18, 2014からメンバー
117 投稿
Have you thought already about a refund of your subscription fees?
Till now i only made a big loss for using it 2 weeks in my real account.
And as you also have raised your subscription fees before, the job should have been done very professional...
I really thought you would take an SL earlier.
For my thinking this strategy can not work for longer time without an clear exit strategy.
Prices are not only swinging in that small ranges all the time.
And now with 66 / 68% DD the resilient limit for the most subscribers is finally reached. ((
Till now i only made a big loss for using it 2 weeks in my real account.
And as you also have raised your subscription fees before, the job should have been done very professional...
I really thought you would take an SL earlier.
For my thinking this strategy can not work for longer time without an clear exit strategy.
Prices are not only swinging in that small ranges all the time.
And now with 66 / 68% DD the resilient limit for the most subscribers is finally reached. ((
Jan 18, 2016からメンバー
55 投稿
Mar 20, 2017 at 11:30
Jan 18, 2016からメンバー
55 投稿
At this moment, pivot point is at 1.0730, and EURUSD entered since two working day ago in a bearish phase.
Positions are partially freezed (6 buy and 8 sell). I will enter the market daily several times in sell, accordingly to bearish momentum, and close daily old positions with small daily profit.
I think this is the best way to exit current DD, with monthly gain.
A correct strategy review, must consider at least two months subscription (IMHO).
Positions are partially freezed (6 buy and 8 sell). I will enter the market daily several times in sell, accordingly to bearish momentum, and close daily old positions with small daily profit.
I think this is the best way to exit current DD, with monthly gain.
A correct strategy review, must consider at least two months subscription (IMHO).
Jan 18, 2016からメンバー
55 投稿
Mar 20, 2017 at 15:36
Mar 18, 2014からメンバー
117 投稿
MarcoStacc71 posted:
At this moment, pivot point is at 1.0730, and EURUSD entered since two working day ago in a bearish phase.
Positions are partially freezed (6 buy and 8 sell). I will enter the market daily several times in sell, accordingly to bearish momentum, and close daily old positions with small daily profit.
I think this is the best way to exit current DD, with monthly gain.
A correct strategy review, must consider at least two months subscription (IMHO).
I have subscribed already 1,5 months, but i am watching you since nearly 3 months....
And i really had already that much signals going down like yours now ((
For the most was the only profit the subscription fees...
But i still hope the best for you
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