System based on the combination of three indicators (one of them unknown and highly effective) and incorporates the possibility of money management (increasing or decreasing the position according to whether the system has a better or worse track-record) and position size (depending the different variables).
Broker: ProRealTime Platform or Broker with ProRealTime.
· Index: DAX.
· Conceptual programming base of: a combination of three indicators
· Style: Intraday Trading (one operation per day as average)
· Operations: Long and Short.
· Term: 2 minutes.
· Hours of operations: 08:30 to 20:00.
· Universal Time: UTC +1.
o Accumulate positions: No.
o Money management: Yes / No (you can choice).
o Position size: Yes / No (you can choice).
o Min size: 0.5 contract.
o Stop loss: 1,10%.
o Take profit: 0,55%.
o Trailing stop: Yes.
o Partial clousures: No.
· Capital needed: I recommend € 2000. You never need to increase the additional capital to the initial contribution.
BThe security that the system gives me in addition to the results that have always been positive is that it is profitable in any asset: Dow Jones, Nasdaq, CAC-40, even in commodities.
HISTORICAL BACKTESTING SINCE JULY 2018
I show basktesting figures for 1 MILLION since July 2018 (spread= 2p and without optimization) WITH MONEY MANAGEMENT ACTIVE (the number of contracts increases or decreases as profits or losses occur in the system, that’s why you can see in the backtesting such high figures as the months go by, but this option can be deactivated and always enter the market with the same number of contracts):
*Ratio benefit / drawdown= 23,2 (very very high, unbeatable, my best system in this ratio).
*Performance for year: 2018 (+0,97%), 2019 (2,20%), 2020 (14,08%), 2021 (+10,03%), 2022 (+11,61%) and 2023 (+9,26%)
*Total months (66): 56 months with profits and 10 months with losses.
FIGURES DURING 2023
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