Dec 082009
 

Trading mode: Low risk
Trading Pair: All USD pairs
Monthly Performance: 6-15%
Minimum deposit: $1 000
Recommended Lot size: 0.1

This system in combined of four systems called (Trend Reversal, Bar Reversal, Daily Breaks, and Run on Bounce) All together encapsulated in one competitive and integrated system.

299$ Trial

Easy to use, Run it & Leave it..

Time frame default is one hour, you can change it to 4 hours if you like but orders will be much less in count.

features:

We compined 4 systems here to get better opportunities of market and less Risk on Account and new featues are added to the package we will mention here some of them:

  1. Split returns to two levels.
  2. Trade the market much smarter than before by calculating the support and resistance points
  3. Enhance Exit points to be more sensitive to market fast returns.
  4. Do Re-Enter to the same positions if they closed with small returns and market return back to the channel, to catch more opportunities.
  5. We made the Pairs choices extended, and we did test it well for the following Pairs: EURJPY, EURUSD, GBPUSD, USDJPY and USDCAD and we recommend to use it for more than one Pair and make the Lot size smaller to maintain risk below 10% as usual. for example, if you use it for all 5 Pairs in the same time then use Lot size 0.2 for each pair then risk will still 10% only. And much more enhancement you will find it in results.

EUR/JPY GBP/USD USD/JPY

  One Response to “One Trend”

  1.  

    Strategy Tester Report

    Symbol
    EURUSD (Euro vs US Dollar)

    Period
    1 Hour (H1) 2007.01.02 01:00 – 2007.09.07 23:00

    Model
    Every tick (based on all available least timeframes with fractal interpolation of every tick)

    Parameters
    Lots=1; StopLoss=40; TakeProfit=0; SplitProfits=true; TrailingStop=true; LotPlus=true; ReOpenPos=true; FastProfits=false; BreakEven=true; Gap=0; ClearSymbols=false; Serial=””;

    Bars in test
    9261
    Ticks modelled
    273171
    Modelling quality
    89.98%

    Initial deposit
    10000.00

    Total net profit
    55846.95
    Gross profit
    156687.87
    Gross loss
    -100840.92

    Profit factor
    1.55
    Expected payoff
    80.24

    Absolute drawdown
    535.30
    Maximal drawdown
    11044.33 (18.19%)
    Relative drawdown
    18.19% (11044.33)

    Total trades
    696
    Short positions (won %)
    359 (71.59%)
    Long positions (won %)
    337 (73.00%)

    Profit trades (% of total)
    503 (72.27%)
    Loss trades (% of total)
    193 (27.73%)

    Largest
    profit trade
    3902.28
    loss trade
    -1280.00

    Average
    profit trade
    311.51
    loss trade
    -522.49

    Maximum
    consecutive wins (profit in money)
    26 (10036.52)
    consecutive losses (loss in money)
    5 (-3247.09)

    Maximal
    consecutive profit (count of wins)
    10036.52 (26)
    consecutive loss (count of losses)
    -3504.74 (4)

    Average
    consecutive wins
    3
    consecutive losses
    1

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