(Skynet’s A. S. most stable bot).
General pre-MarketPlace Backtest:
December 2014 onward, with/without Money Management (spread 1.5).
Results from available in the MarketPlace:
30 September 2022 onward, with/without Money Management (spread 1.5).
IT IS A LONG TERM BOT, IT PERFORMS VERY FEW OPERATIONS, BUT VERY ACCURATE… THIS IS ONLY THE BEGINNING!!!
The bot has a positive performance to date, in both versions with money management and without money management.
Version with Money Management +373€ balance.
Version without Money Management +668€ balance.
The bot is bullish and bearish, trades long and short.
We urge you that perhaps you should activate the versions with Money Management, where the detriment, if any, will be less, and the benefit, if any, will be greater.
- Broker: ProRealTime Platform or Broker with ProRealTime.
- Active: Dax 40 (1€ CFDS).
- Conceptual programming base of bot: Measurement and analysis of trend strength through intraday and short-term with Hichimoku Kinko Hyo (japanese tendence strategy), Momentum Oscillator, and Pivot Points.
- Type: Trend.
- Style: Day Trading, Swing, Short Term.
- Operations: Long/short (Bull/Bear bot).
- Term: 15 minutes.
- Operating hours: 08:00 to 22:00.
- Coordinated Universal Time: Your platform MUST be set to Europe/Paris (currently, no summer time, it should be set to UTC +1).
- Accumulate positions: No.
- Money Management: Yes / No.
- Min/Max Size: € 0.5/ € 10 (Min size € 0.5 or € 1, according to broker account)*.
- Take profit: Greater than 3.5%.
- Receiving losses: Less than 1.5%.
- Breakeven: Less than 0.5%.
- Trailing stop: No.
- Partial clousures: No.
- CAPITAL NEEDED:
We recommend € 2000 for each activated bot WITH money management, and € 4000 for each activated bot WITHOUT money management (Margins and first risks of the operation included).
Note that the bot WITH money management starts trading at € 0.5 pip size and in progression / regression, and the bot WITHOUT money management operate at € 1 pip size.
YOU NEVER NEED TO INCREASE ADDITIONAL CAPITAL TO THE INITIAL CONTRIBUTION, THE BOT WITH MONEY MANAGEMENT FEEDBACKS THE NECESSARY MARGIN FOR SUBSEQUENT OPERATIONS WITH THE BENEFIT OF PREVIOUS OPERATIONS.
- MARKET ENTRY:
-It has up to eleven trend filters, all intraday. The eleven filters have been refined to select bullish and bearish trades individually.
Only when the eleven trend filters match in a coordinated position, and determined, the entry to the market will be effective, thus seeking the perfect moment, and the strength of the uptrend.
-Market entry will only be effective if the ten trend filters mentioned above coincide, in turn, with the trading hours with the highest historical volume, thus also looking for the best moment.
- MARKET EXIT:
In addition to breakeven, taking profit and stopping losses.
-The operations detected as potentially dangerous due to loss of “momentum” in the price of the asset, they can close the operations in profits or losses without the need to reach take profit, stoploss, or breakeven.
- SECURITY MEASURES (Drawdown control):
In addition to breakeven, taking profit, stopping losses, and loss of “momentum”, this bot have other parameters to close trades.
-They only allow an operation with daily losses, the bot will stop operating for the rest of the day, in the event of a possible intraday or short-term correction in the asset.
-They only allow a daily loss less than 0.5% on the free float, the bot will stop operating for the rest of the day.
- SECURITY MEASURES (Risk control):
-The operations with little activity (“Sleepers”), are closed automatically after a period of no less than one day and no more than three days.
-The operations detected as potentially dangerous, close at a specific time on Friday (Bye Monday Gap).
- STRESS TESTS:
The bots, and their backtests, have been subjected to research & development, and subsequently to a variety of stress tests on their results for more than year and a half, to achieve a reliable, efficient, accurate, robust, and PROFITABLE product.
The important goal of these progression / regression sequences is to minimize drawdown, and also put the bot through a tough test of its stats’ strength and endurance.
(MINIMIZE RISKS – MAXIMIZE PROFITS).
Analyze our product, BE PATIENT, BE CONSTANT, let the bots develop in time.
You must bear in mind that our products with money management begin operating with a minimum investment. Once the strategy produce some profits, position size will gradually increase protecting your initial capital and maximize the benefits.
- PRODUCT RECEIVED BY USER:
You get Dax “REVOLUTIONS“+- with money management, and Dax “REVOLUTIONS“+- without money management.
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