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FX Manager Listing Board
May 11, 2011 at 15:19
Oct 01, 2010 부터 멤버
게시물8
hi,
please take a look my account with go markets that i am using with a very successful and consistent trader.
https://www.gomarketsaus.com/account-information/download-demo
account login: 513526 password: 12345% server/IP address: 206.71.180.206:1951:
please let me know if u want and i can put u in touch with him if u want him to trade for u.
mel
scalper
May 11, 2011 at 22:24
(편집됨 May 11, 2011 at 22:25)
Feb 19, 2010 부터 멤버
게시물54
melco7 posted:
hi,
please take a look my account with go markets that i am using with a very successful and consistent trader.
https://www.gomarketsaus.com/account-information/download-demo
account login: 513526 password: 12345% server/IP address: 206.71.180.206:1951:
please let me know if u want and i can put u in touch with him if u want him to trade for u.
mel
your ac had a quit bad dd recently...r u trade manual or using ea?
Not greedy is the most important factor on your FOREX sucsessfullness.
Oct 20, 2009 부터 멤버
게시물43
May 12, 2011 at 10:17
Oct 20, 2009 부터 멤버
게시물43
RBM Live vs backtest comparision ..
-----------------------------------------------
This might well be the most robust strategy for conservative investors.
<a href='https://www.myfxbook.com/members/breakforex/rbm/110003'><img border='0' src='https://www.myfxbook.com/widgets/110003/medium.jpg'/></a>
10 Year backtest: https://www.myfxbook.com/strategies/rbc/4911
forex_trader_767
Sep 14, 2009 부터 멤버
게시물87
Jun 21, 2011 at 08:09
(편집됨 Jun 21, 2011 at 08:19)
Sep 14, 2009 부터 멤버
게시물87
Hi all,
I would like to provide general system evaluation criteria to potential investors and managers looking for the next best long term system to rent or buy in order to generate a stable growth and income.
Always Look for 3 main Factors. Draw down, Growth in relation with DD and time and Generated pips in total and on average.
Also holding time should be more than 5 minutes and less than a month on average. I disagree with some here imposing restrictions with open trades holding time as you can hold a transaction for longer periods if your MM take into account the propability and you risk a minimum of your account %, even if you hit a 700 pips Stop. Certainly this has to be the exception and not the normal.
If you see systems with less than 10 pips average win and more than 1:3 Win/Loss ratio, be ready to RUN...
If you see systems with high growth, low DD but with Low pip number for this growth , be ready to RUN...(away..)
eg. Listed here previously...What would have happened to your capital if you had joined it at the top even with a 1:10 lot sizing than the demonstration shown, the bare minimum for Alpari UK, 0.01 lot sizing. A bad 40% DD..With a 1:5 a nice margin call...
An example to avoid...
https://www.myfxbook.com/members/baraban/alpari-uk-classic/90491
Unfortunately this was a system considered good from some other managers - traders here..Actually was 1 out of 2...
I would not trade the other also...for simmilar reasons , although a bit safer..
https://www.myfxbook.com/members/trade4hapi/spytrader/39814
In comparisson to have you understand what I am talking about...
My SUPER-XM system made more pips than this in its first month but growth was only 15% not 460%...
<a href='https://www.myfxbook.com/members/moneybotfx/super-xm/114981'><img border='0' src='https://www.myfxbook.com/widgets/114981/medium.jpg'/></a>
The more pips generated by a system to make you growth, the better the money management and safe profitability..
If you see systems with low number of trades sample WAIT and WATCH, until get more confidence and check back-tests for at least 5 years to see relative consistency with the forward live testing.
If you see negative number of pips and many months history RUN as this is a martingale like strategy and can blow you even after years of success.
If you see promises for consistent monthly performance of 100% or more RUN...
If you see a great growth performance but a DD of say 30% (like eg in one of my systems) and you are conservative investor you can
have the system trade in 50% or less, thus minimizing the DD comfortable zone to also 50%...
In an opposite fashion, if you are not happy with a 40% yearly performance and you want 100% or more, you can find a system with
low DD and multiply this by 2-4 times by increasing lot sizing and thus performance.
Always take account open DD and consider that it maybe more than what the orange line currently pinpoint to you...
Analyse and try to calculate the worst case if you had just join at the top, what would have happen at the lowest point..
Always start small, make some profit and then increase the lot multiplier - MM risk plan accordingly..
At least if you enter into a system dive you minimize DD and if you dive deep after a while at least your temporary capital damage will be smaller due to some profit already made..
Don't listen to some people saying that a 20% DD is not good for a 10% monthly growth...
It is true only if you gamble or have a 3 months time frame to pay back the Mafia...
Even if you dive in then you need an average of 2 months to recover losses which is fine if you have yearly profit targets..
Always be careful when you see 1:100 or more leverage. Learn the maximum estimated open margin required and check if your broker aggregates the hedged open positions and need margin only for market exposure.
Institutional clients with requirements of 1:25 or less leverage and less than 10% DD, should calculate accordingly and decrease the lot sizing and thus the growth performance. eg. my systems need at least 1:100 leverage or more to be safe...in worst case.
If someone needs less, he must divide EA copier multiplier accordingly.
As an example a system with an average growth of 200% per year will become a system of only a 20% a year for institutional clients using only 1:10 leverage, which is still good enough for 8 digit and more accounts.. Don't ever forget that serious long term investors and hedge funds crave for a solid 30% growth per year.
This is the rate most successful multi - investor Warren Buffet' s company average growth..
Good Luck
<a href='https://www.myfxbook.com/members/moneybotfx/combo-extreme/80417'><img border='0' src='https://www.myfxbook.com/widgets/80417/medium.jpg'/></a>
I would like to provide general system evaluation criteria to potential investors and managers looking for the next best long term system to rent or buy in order to generate a stable growth and income.
Always Look for 3 main Factors. Draw down, Growth in relation with DD and time and Generated pips in total and on average.
Also holding time should be more than 5 minutes and less than a month on average. I disagree with some here imposing restrictions with open trades holding time as you can hold a transaction for longer periods if your MM take into account the propability and you risk a minimum of your account %, even if you hit a 700 pips Stop. Certainly this has to be the exception and not the normal.
If you see systems with less than 10 pips average win and more than 1:3 Win/Loss ratio, be ready to RUN...
If you see systems with high growth, low DD but with Low pip number for this growth , be ready to RUN...(away..)
eg. Listed here previously...What would have happened to your capital if you had joined it at the top even with a 1:10 lot sizing than the demonstration shown, the bare minimum for Alpari UK, 0.01 lot sizing. A bad 40% DD..With a 1:5 a nice margin call...
An example to avoid...
https://www.myfxbook.com/members/baraban/alpari-uk-classic/90491
Unfortunately this was a system considered good from some other managers - traders here..Actually was 1 out of 2...
I would not trade the other also...for simmilar reasons , although a bit safer..
https://www.myfxbook.com/members/trade4hapi/spytrader/39814
In comparisson to have you understand what I am talking about...
My SUPER-XM system made more pips than this in its first month but growth was only 15% not 460%...
<a href='https://www.myfxbook.com/members/moneybotfx/super-xm/114981'><img border='0' src='https://www.myfxbook.com/widgets/114981/medium.jpg'/></a>
The more pips generated by a system to make you growth, the better the money management and safe profitability..
If you see systems with low number of trades sample WAIT and WATCH, until get more confidence and check back-tests for at least 5 years to see relative consistency with the forward live testing.
If you see negative number of pips and many months history RUN as this is a martingale like strategy and can blow you even after years of success.
If you see promises for consistent monthly performance of 100% or more RUN...
If you see a great growth performance but a DD of say 30% (like eg in one of my systems) and you are conservative investor you can
have the system trade in 50% or less, thus minimizing the DD comfortable zone to also 50%...
In an opposite fashion, if you are not happy with a 40% yearly performance and you want 100% or more, you can find a system with
low DD and multiply this by 2-4 times by increasing lot sizing and thus performance.
Always take account open DD and consider that it maybe more than what the orange line currently pinpoint to you...
Analyse and try to calculate the worst case if you had just join at the top, what would have happen at the lowest point..
Always start small, make some profit and then increase the lot multiplier - MM risk plan accordingly..
At least if you enter into a system dive you minimize DD and if you dive deep after a while at least your temporary capital damage will be smaller due to some profit already made..
Don't listen to some people saying that a 20% DD is not good for a 10% monthly growth...
It is true only if you gamble or have a 3 months time frame to pay back the Mafia...
Even if you dive in then you need an average of 2 months to recover losses which is fine if you have yearly profit targets..
Always be careful when you see 1:100 or more leverage. Learn the maximum estimated open margin required and check if your broker aggregates the hedged open positions and need margin only for market exposure.
Institutional clients with requirements of 1:25 or less leverage and less than 10% DD, should calculate accordingly and decrease the lot sizing and thus the growth performance. eg. my systems need at least 1:100 leverage or more to be safe...in worst case.
If someone needs less, he must divide EA copier multiplier accordingly.
As an example a system with an average growth of 200% per year will become a system of only a 20% a year for institutional clients using only 1:10 leverage, which is still good enough for 8 digit and more accounts.. Don't ever forget that serious long term investors and hedge funds crave for a solid 30% growth per year.
This is the rate most successful multi - investor Warren Buffet' s company average growth..
Good Luck
<a href='https://www.myfxbook.com/members/moneybotfx/combo-extreme/80417'><img border='0' src='https://www.myfxbook.com/widgets/80417/medium.jpg'/></a>
Jun 21, 2011 at 12:15
May 30, 2011 부터 멤버
게시물11
1. Minimum Acc : 2000 USD
2. Broker digit : 4/5 Digit
3. Leverage : 1:500
4. Manager Fee : 40% of net profit
5. Duration : 1 month
6. Estimation ROI per month : 60% above
7. Type of Management : Direct Control Your Account
8. Myfxbook sample account: https://www.myfxbook.com/members/duriensfx/milky-ats/117771
9. Description of your trading strategy : 5-10 pips target per order ; 20-30 pips daily target ; 80% monthly target ; EUR-USA session
2. Broker digit : 4/5 Digit
3. Leverage : 1:500
4. Manager Fee : 40% of net profit
5. Duration : 1 month
6. Estimation ROI per month : 60% above
7. Type of Management : Direct Control Your Account
8. Myfxbook sample account: https://www.myfxbook.com/members/duriensfx/milky-ats/117771
9. Description of your trading strategy : 5-10 pips target per order ; 20-30 pips daily target ; 80% monthly target ; EUR-USA session
Jun 22, 2011 at 03:44
Oct 21, 2010 부터 멤버
게시물41
/😁/ /😁/ /😁/
Actually I'm not a good trader, just trying to find some stupid investor who ready to lose their money.
1. Minimum Acc : 10K USD
2. Broker digit : 4/5
3. Leverage : 1:100/1:200/1:500/1:1000
4. Manager Fee : 30% of net profit
5. Duration : 1 month
6. Estimation ROI per month : 3-5% (NOT GUARANTEED)
7. Type of Management : Direct Control Your Account
8. Myfxbook sample account: https://www.myfxbook.com/members/copett/opera-van-java/107647
9. Description of your trading strategy : Only trade GBP/USD, using both manual and Expert Advisor
Actually I'm not a good trader, just trying to find some stupid investor who ready to lose their money.
1. Minimum Acc : 10K USD
2. Broker digit : 4/5
3. Leverage : 1:100/1:200/1:500/1:1000
4. Manager Fee : 30% of net profit
5. Duration : 1 month
6. Estimation ROI per month : 3-5% (NOT GUARANTEED)
7. Type of Management : Direct Control Your Account
8. Myfxbook sample account: https://www.myfxbook.com/members/copett/opera-van-java/107647
9. Description of your trading strategy : Only trade GBP/USD, using both manual and Expert Advisor
3-5% Monthly profit, Follow my zulutrade!!
forex_trader_37122
May 20, 2011 부터 멤버
게시물12
Jun 29, 2011 at 07:49
(편집됨 Jun 29, 2011 at 07:56)
May 20, 2011 부터 멤버
게시물12
1. Minimum Acc: $50
2. Broker digit: 4
3. Leverage: Minimum 1:200
4. Manager Fee: NONE but need to register under affiliate link
5. Duration: No lock-in period (Preferably to complete 30 days of trading before withdraw money)
6. Estimation ROI per month: Minimum 20%-100%
7. Type of Management: Direct Control Your Account
8. Myfxbook sample account: https://www.myfxbook.com/members/kongsigelap
9. Description of your trading strategy: Automated
2. Broker digit: 4
3. Leverage: Minimum 1:200
4. Manager Fee: NONE but need to register under affiliate link
5. Duration: No lock-in period (Preferably to complete 30 days of trading before withdraw money)
6. Estimation ROI per month: Minimum 20%-100%
7. Type of Management: Direct Control Your Account
8. Myfxbook sample account: https://www.myfxbook.com/members/kongsigelap
9. Description of your trading strategy: Automated
Oct 09, 2010 부터 멤버
게시물56
Jun 29, 2011 at 09:45
Oct 09, 2010 부터 멤버
게시물56
1. Minimum Acc : 2K USD
2. Broker digit : 5
3. Leverage : 1:200/1:400
4. Manager Fee : 10% of net profit (calculation based on high watermark algorithm)
5. Duration : 1 month
6. Estimation ROI per month : 10-30%
7. Type of Management : MAM account, only for Pepperstone available
8. Myfxbook sample account: https://www.myfxbook.com/members/fpuschmann/fxpert-razor/108163
9. Description of your trading strategy : proactively managed EA portfolio, semi-automatic trading (arbitrage)
more info @ www.fxpert.de
2. Broker digit : 5
3. Leverage : 1:200/1:400
4. Manager Fee : 10% of net profit (calculation based on high watermark algorithm)
5. Duration : 1 month
6. Estimation ROI per month : 10-30%
7. Type of Management : MAM account, only for Pepperstone available
8. Myfxbook sample account: https://www.myfxbook.com/members/fpuschmann/fxpert-razor/108163
9. Description of your trading strategy : proactively managed EA portfolio, semi-automatic trading (arbitrage)
more info @ www.fxpert.de
Oct 20, 2010 부터 멤버
게시물25
Jul 02, 2011 at 14:32
Oct 20, 2010 부터 멤버
게시물25
1. Minimum Acc : 50 USD (you can also try the service with virtual funds)
2. Broker: ALPARI - https://alpari-forex.com/en/investor/
3. Leverage : 1:100
4. Manager Fee : 25 - 40% from the net profit, based on invested capital
5. Duration : OPEN, NO penalty for early withdrawal - you can get back your money on the start of every hour!
6. Estimation ROI per month : 10%
7. Type of Management : PAMM account at Alpari - https://alpari-forex.com/en/pamm/info/id/199376/
8. Myfxbook sample account: https://www.myfxbook.com/members/RobinHoodFund/robin-hood-pamm/108473
9. Description of your trading strategy : mixed - check my profile
<a href='https://www.myfxbook.com/members/RobinHoodFund/robin-hood-pamm/108473'><img border='0' src='https://www.myfxbook.com/widgets/108473/large.jpg'/></a>
2. Broker: ALPARI - https://alpari-forex.com/en/investor/
3. Leverage : 1:100
4. Manager Fee : 25 - 40% from the net profit, based on invested capital
5. Duration : OPEN, NO penalty for early withdrawal - you can get back your money on the start of every hour!
6. Estimation ROI per month : 10%
7. Type of Management : PAMM account at Alpari - https://alpari-forex.com/en/pamm/info/id/199376/
8. Myfxbook sample account: https://www.myfxbook.com/members/RobinHoodFund/robin-hood-pamm/108473
9. Description of your trading strategy : mixed - check my profile
<a href='https://www.myfxbook.com/members/RobinHoodFund/robin-hood-pamm/108473'><img border='0' src='https://www.myfxbook.com/widgets/108473/large.jpg'/></a>
MANAGED ACCOUNT (PAMM) -
Jul 06, 2011 at 13:00
Jul 06, 2011 부터 멤버
게시물1
1. Minimum Acc : 2K USD
2. Broker digit : 5
3. Leverage : 1:200/1:400
4. Manager Fee : 12% of net profit
5. Duration : 1 month
6. Estimation ROI per month : 10-35%
7. Type of Management : MAM account, only for alpari,fxdd and fxcm
8. Myfxbook sample account: https://www.myfxbook.com/members/kingfoxy
9. Description of your trading strategy : view my profile
2. Broker digit : 5
3. Leverage : 1:200/1:400
4. Manager Fee : 12% of net profit
5. Duration : 1 month
6. Estimation ROI per month : 10-35%
7. Type of Management : MAM account, only for alpari,fxdd and fxcm
8. Myfxbook sample account: https://www.myfxbook.com/members/kingfoxy
9. Description of your trading strategy : view my profile
Jan 11, 2011 부터 멤버
게시물6
Jul 08, 2011 at 01:58
Jan 11, 2011 부터 멤버
게시물6
1. Minimum Acc : Minimum $1k
2. Broker digit : 4digit and 5 digit
3. Leverage : 1:500 / 1:200
4. Manager Fee : 40%
5. Duration : 1 month
6. Estimation ROI per month : 10% - 15% / month
7. Type of Management : Managed Account
8. Myfxbook sample account: https://www.myfxbook.com/members/bakulprofit 😄
9. Description of your trading strategy : view my profie
10. contact by email: [email protected]
grab more profit as long as u can
forex_trader_27988
Jan 26, 2011 부터 멤버
게시물1367
Jul 08, 2011 at 08:11
(편집됨 Jul 08, 2011 at 08:22)
Jan 26, 2011 부터 멤버
게시물1367
i really dont get this whole thing...
a listing of fxmanagers?
isnt this what myfxbook does?
anybody here ever heard of the word redundant?
i will tell you one issue that i do not hear any managers bringing up...
what if somebody sends to me funds and i have a heart attack and drop dead?
how do you get your funds back?
the fact that no person has addressed this issue shows that you are not good managers of funds.
thank you.
mister stupd zero/.
a listing of fxmanagers?
isnt this what myfxbook does?
anybody here ever heard of the word redundant?
i will tell you one issue that i do not hear any managers bringing up...
what if somebody sends to me funds and i have a heart attack and drop dead?
how do you get your funds back?
the fact that no person has addressed this issue shows that you are not good managers of funds.
thank you.
mister stupd zero/.
Oct 20, 2010 부터 멤버
게시물25
forex_trader_27988
Jan 26, 2011 부터 멤버
게시물1367
Sep 14, 2009 부터 멤버
게시물13
Jul 10, 2011 at 11:09
Sep 14, 2009 부터 멤버
게시물13
i dont know what ya doing here with this thread, but if you compare dick sizes, thats mine :D
https://www.myfxbook.com/members/Cerebro_Trader/pnf/132110
https://www.myfxbook.com/members/Cerebro_Trader/pnf/132110
Nov 01, 2010 부터 멤버
게시물1
Aug 03, 2011 at 16:30
Nov 01, 2010 부터 멤버
게시물1
1. Minimum Acc : Minimum $1k
2. Broker digit : 4digit
3. Leverage : 1:500 / 1:200
4. Manager Fee : 30%
5. Duration : 1 month
6. Estimation ROI per month : 15% - 40% / month
7. Type of Management : Managed Account
8. Myfxbook sample account: https://www.myfxbook.com/members/rejekiforex/maju-lancar/132321
9. Description of your trading strategy : Powerfull my personal scalping EA, combine in sideway market n using reversal trend
10. contact by email: [email protected] or add YM: juraganforex
2. Broker digit : 4digit
3. Leverage : 1:500 / 1:200
4. Manager Fee : 30%
5. Duration : 1 month
6. Estimation ROI per month : 15% - 40% / month
7. Type of Management : Managed Account
8. Myfxbook sample account: https://www.myfxbook.com/members/rejekiforex/maju-lancar/132321
9. Description of your trading strategy : Powerfull my personal scalping EA, combine in sideway market n using reversal trend
10. contact by email: [email protected] or add YM: juraganforex
Aug 10, 2011 at 08:44
Jun 08, 2011 부터 멤버
게시물17
I don't offer managed accounts but autosignals which may be better for the following reasons:
1. Profitable that may turn $25K to $250K in 1 year.
2. My clients should earn cash rebates instead of I do to avoid trading conflict.
3. No gain, No pay: I only earn performance fee every time I produce 100% NET NEW profit for you.
4. You have total control of your account.
Check me out at https://www.1onlyforex.com .
1. Profitable that may turn $25K to $250K in 1 year.
2. My clients should earn cash rebates instead of I do to avoid trading conflict.
3. No gain, No pay: I only earn performance fee every time I produce 100% NET NEW profit for you.
4. You have total control of your account.
Check me out at https://www.1onlyforex.com .
May 14, 2011 부터 멤버
게시물10
Aug 11, 2011 at 08:46
May 14, 2011 부터 멤버
게시물10
1. Minimum Acc : $10000
2. Broker digit : FXCM-uk
3. Leverage : 1:200
4. Manager Fee : 35% of net profit until your investment returns, after that 50%
5. Duration : 6 months
6. Estimation ROI per month : 30-50%.
7. Type of Management : Direct Control Your Account with LPOA
8. MyFXBook sample account:- N.A, However i was first place King of Micro winner January-2011 at FXCM with 1181.58%.That is not possible always
9. Description of your trading strategy : Maximum risk of 5% at any point of time, manual trading.
For detailed, please contact:- [email protected].
2. Broker digit : FXCM-uk
3. Leverage : 1:200
4. Manager Fee : 35% of net profit until your investment returns, after that 50%
5. Duration : 6 months
6. Estimation ROI per month : 30-50%.
7. Type of Management : Direct Control Your Account with LPOA
8. MyFXBook sample account:- N.A, However i was first place King of Micro winner January-2011 at FXCM with 1181.58%.That is not possible always
9. Description of your trading strategy : Maximum risk of 5% at any point of time, manual trading.
For detailed, please contact:- [email protected].
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