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Scalp Trader PRO
v
Obchodné systémy
Feb 25, 2016 at 15:42
No trades for almost 7 weeks, yet it still updates.Has the vendor turned off the EA, so to live / make sales from past results?
Scalp Trader PRO
v
Obchodné systémy
Feb 18, 2016 at 11:48
If you analyse the trading history, it is clear to see this account has progressively had the trading risk reduced. Thus growth has reduced.Would seem the vendor is happy with the current overall result & doesn't wish to see a big loss if a trade hits the full SL, which will happen, just unknown when. By reducing the risk as the account balance grows, the loss when it hits will be reduced.I have no issue with the vendor doing this.
Scalp Trader PRO
v
Obchodné systémy
Nov 27, 2015 at 12:27
I never said it was a scam. Just has not shown, long term, that a proven past DD of around 46.65% versus a long term monthly growth of 4.9%, with a 12% risk per trade is not what I would consider to be good stats.You do understand it is a Trade Copier, from a master account on another broker with different spreads than your broker, and that your slave account will probably suffer increased slippage (different open and close prices from the master account) because of delays in the trade copier opening and closing trades?
Scalp Trader PRO
v
Obchodné systémy
Nov 26, 2015 at 14:58
Risk = ( lot size × $10 × 120 pips SL) / $ balance when opening trade. This is what % of your balance you will lose if the EURUSD trade hits the SL. The $ value between the ( ) is how much the lost will cost you if the SL is hit.
Scalp Trader PRO
v
Obchodné systémy
Nov 26, 2015 at 12:55
Doing the maths, the 10 year back test ran at 12% risk per trade, had a 46.65% relative DD to the then balance high water mark and made a averaged compounded 4.9% return / grown per month over the 10.75 years.At the current risk per trade of 27%, the account would probably not survive the 10 year back test as the recorded worst case DD would exceed the balance and it would margin call.
Scalp Trader PRO
v
Obchodné systémy
Nov 26, 2015 at 07:46
Doug just told me this EA is a Trade Copier that runs from his server.That means increased time to open and close trades. Which means increased slippage over his master account.
Scalp Trader PRO
v
Obchodné systémy
Nov 25, 2015 at 07:24
Would appear the picture of "Doug Price" on the web site is one bought off the net. http://pixhder.com/professional+headshot+white+backgroundAlso look at the massive DDs in the 2 back tests to see the effects of what happens when close together 120 pip losers hit. As the average winner is around 8 pips, takes around 15 winning trades to make up each 120 pip losing trade, assuming these is not another loser before the 15 winners in a row sequence completes.Looking at the 5 year approx $250k result and the 10 year $approx $500k says the EA makes approx 20% per year or say 1.67% per mon...
Scalp Trader PRO
v
Obchodné systémy
Nov 24, 2015 at 13:25
SL seems to vary a bit but around 120 pips. Risk per trade started out at around 43% and progressively dropped to around 27%.Seems to have worked for the shown account. But could have many accounts and this is the best that has not had a loss that would show the very high risk per trade.Would appear that once the trade hits some profit level, the SL is adjusted to 8 pips above breakeven to limit the chance of a 120 pip loss hitting the account.1st traded. Read uphttp://www.myfxbook.com/files/FxPhil/ScalperPro.pngLast trades.http://www.myfxbook.com/files/FxPhil/ScalperPro2.png
Caesar@IcMarkets
v
Obchodné systémy
Oct 08, 2014 at 06:55
Tomas,Do you intend to return all the Caesar2 subscription now that you have stopped selling that signal? As a new client, I never enjoyed a profit from that signal but now are down almost all my $10k investment, including trading losses, slippage, VPS cost and subscription fees.For me this test of what looked like a good signal and trader has turned into a nightmare. I suspect you have others that feel likewise.Returning everyones subscription fees would be a sign of good faith on your part.
Caesar@IcMarkets
v
Obchodné systémy
Oct 08, 2014 at 06:34
This is nuts. Just disconnected the signal and Hedged 31 open trades. Will deal with this myself.
Caesar@IcMarkets
v
Obchodné systémy
Oct 07, 2014 at 07:03
Tomas,Another reason for the master to NOT decide DD closes is your client may be running their account at other than $500 / 0.01 lot. As example had I been running at $1,000 / 0.01 lot my DD would only have been 50% of the Master, 16.5% versus 33%, yet the Master would have closed my trades when my DD was still very acceptable.This suggests the Master should not do DD close out as the DD of each client account may be very different to the Master.Please consider stopping the Master closing out client trades due to Master DD.
Caesar@IcMarkets
v
Obchodné systémy
Oct 07, 2014 at 07:00
Tomas,As can be seen, had you Hedged the basket instead of closing all the trades, all your clients would now be in nice profit. Had the price not recovered but continued to drop, the use of a Hedge would not have increased the loss.Please consider allowing your clients to decide their method of exiting a bad trade.
Caesar@IcMarkets
v
Obchodné systémy
Oct 04, 2014 at 08:30
Tomas should have Hedged and waited for the price to recover, so a chance to avoid the loss. Would not have increased the loss and only need price increase of the same pips as pre the Hedge open to close all the trades in profit.Just maybe the ZuluTrade comment about Tomas may apply: http://www.zulutrade.com/trader/178362
Caesar@IcMarkets
v
Obchodné systémy
Oct 04, 2014 at 08:21
What part of you have failed your signal followers on ST and MQL don't you understand?Where was the Hedge to wait out the current price move?
Caesar@IcMarkets
v
Obchodné systémy
Oct 04, 2014 at 08:21
Tomas,You should have used a Hedge to protect investor Equity.Sorry Tomas but you have shown serious lack of experience in dealing with large drawdowns.This DD should have never happened as there are ways to deal with it.So far with an initial $10k investment, factoring in initial slippage and this latest failure to protect investor equity, I'm down 50%.Please enjoy spending my subscription fees, as I try to deal with the massive loss you have delivered.
Caesar@IcMarkets
v
Obchodné systémy
Oct 03, 2014 at 11:35
http://www.forexsignals.com/forum/showthread.php/264-Ceasar2-signal?p=18634&viewfull=1#post18634
Caesar@IcMarkets
v
Obchodné systémy
Oct 02, 2014 at 06:54
Last 12 trades closed in less than 1 sec, on MT4, for more pips than master:http://www.myfxbook.com/files/FxPhil/Pips45.3.pnghttp://www.myfxbook.com/files/FxPhil/BasketClose.pnghttp://www.myfxbook.com/files/FxPhil/DogsBreakie.png
Caesar@IcMarkets
v
Obchodné systémy
Oct 01, 2014 at 14:11
"True ECN" is what ICMarkets call the account type:http://www.icmarkets.com.au/MetaTrader 4 True ECN AccountTrue ECN spreads from 0.0 pipsDeep Institutional Grade liquidityLeverage of up to 500:1Micro Lot trading, 0.01 lot size$200 USD account opening Minimum Commission of $3.50 per 100k tradedOpen via http://www.hftgroupfx.com/to get $5.50 USD per lot commission instead of $7.00I have nothing to do with nor benefit from this IB link.
Caesar@IcMarkets
v
Obchodné systémy
Oct 01, 2014 at 08:00
True ECN
Caesar@IcMarkets
v
Obchodné systémy
Sep 28, 2014 at 06:36
I don't use ST. 8 x parallel closer works well.
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