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OUR MOST PROFITABLE NASDAQ SYSTEM IN 2023

2.160€ per contract won in 2023, with only 520€ DD at end of month. That’s awesome!!

PROFIT FOR 1 ONLY CONTRACT AND DURING THE OUT-OF-SAMPLE PERIOD (THAT MEANS IN REAL, CONSIDERING EACH UPDATE RELEASE DATE, NOT IN BACKTEST !!!)

 

Real ratios get real results! Stability and consistency in the market are the most important

 

(!) Check before buy! Download and launch all our systems using our demo (!)

Explore our transparent and always-accessible demo as a validation tool. It even includes all historical versions for comprehensive tracking: https://bit.ly/cfdatdemomp

 

🌟🌟 Trend following strategy for NASDAQ 🌟🌟

Pure trend following strategy, using different averages and timeframes (SMA, EMA, VWAP and others). Well-balanced for long and short positions.

The first version was created in June 2022, and updated on January 2023 only with little adjustments after verifying that the original strategy (optimized for DOW JONES) was working nicely for NASDAQ too.

⚠️ All results are shown for 1 simple concurrent position, with 1 fixed contract and 200k candles, showing monthly results (except on big periods or TFs). What you see is what you get: No short periods shown, no make-up of the DD, and no results showing bars of huge periods that hide big drawdowns.

🏴‍☠️Do you know that most of the systems crash after publishing it? Making a well-looking system can be easy, as far it’s so easy that you fall into the trap of an overfitted system. Sometimes even the provider it’s not aware of it.  Nobody can assure profits, but you can trust us as a provider with more than 2 active years distributing systems.  Our development process is focused on do not overfit, and our updates usually enhance the previous version (while older versions even continue stable and profitable over time)

 

Consider the OOS of the strategy and version.  Any historic result table always shows Out Of Sample periods. Need help understanding the results, the risks or the necessary equity? Do not hesitate to contact us

  • Run and check by yourself the complete statistics in the downloadable demo for backtest
  • You can also join our Discord channel to see all the history, and how we work, ask us something, and see historical results or conversations and doubts with other customers…
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Pure trend following strategy, using different averages and timeframes (SMA, EMA, VWAP and others)

Well-balanced for long and short positions.

After a great performance in the OutOfSample period (where was launched using long and short positions separately), and after seeing that was working nicely for NASDAQ , we adapted this strategy (originally adapted to DOW JONES), to run in  NASDAQ without changes

 

—————– DATASHEET ———————————

Strategy type:   Trend follower

Input signals: Uses different averages and timeframes (SMA, EMA, VWAP and others)

Stop Loss: Always. Reduced SL. Fixed at 1,08% for longs and 0.80% for shorts.

Profit handling: Trailing Stop based on points (in percentage).

General comments: All-terrain strategy with mid-winning rate (50-70%) with not too high win/loss resulting ratio. Reduced drawdown (especially for NASDAQ)

Don’t be fooled: Results are shown for 1 contract at € 1 per point. Only 1 position at a time. Without martingales or partial closures (MM available, but not shown in results).    Different configurations are available and visible and non-obfuscated code. Visible headers in ProRealTime screenshots are shown here, distinguishing between backtest, real and demo in each case. Available versioning and results full information in our website and groups, with full tracking.

Extras: Delivered to be used out-of-the-box, but configurable for experienced users. Money Management and Drawdown control modules are available.

ADVISE: For CFD, if you recently opened your trading account, you may get an error “trailing stop is not compatible with your account” when launching any system. That’s because you have a “limited risk” account. Please contact your broker’s support, preferably by phone, requesting to unblock your account. The problem will disappear after unblock your account and restart ProRealTime.

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To reduce the risk even in the same market, combine it too with our other NASDAQ different strategies, reducing the possible drawdowns too.  Take advantage and a high discount by subscribing to the  NASDAQ PACK

 

 

THIS VERSION BACKTEST

 

CURRENT VERSION ANALYSIS FOR FULL PERIOD –> Download the full report here

Note the different scale between profit and the market price. The software matches the last value, but the left scale is profit, and the right one is the market price.

 

We do not make-up drawdowns, big gains need drawdowns. Avoid magic systems and ratios, don’t be fooled. Our results always show results in Out Of Sample considering always the publication date of each version. Some studies or comparisons could use the last version, but we do not make-up past results with the new versions or optimizations; our official results tables and publications always show the real results)

All our algos have a max 2% Stop Loss (or less), a money management system and a configurable drawdown limit to protect capital in the worst of cases.  All images show results with 1 contract configuration.

This algo is delivered to be used “out-of-the-box”, not recommended any change even in changing circumstances. Let us do the best for you; if the strategy has to be updated, we will do it after the corresponding study and period in real in our accounts before distributing it

 

RESULTS IN REAL AND DEMO (OUT OF SAMPLE)

Instance in real launched with the minimum contracts in NASDAQ (0,5) and low MM.
About 600 points in around two months

 

Backtest of the same period than the previous image, to show the equivalent for 1 contract and no MM (as default)

 

OTHER RESULTS AND SAMPLE PERIODS

First instances launched in demo for validation. Long positions only, showing the V1 and the V2 versions launched in DOW JONES. 1 contract. The current version unifies the previous V2 version and allow to run in DOW JONES and NASDAQ with the same system.

 

First instances launched in demo for validation. Short positions only, showing the V1 and the V2 versions launched in DOW JONES. 1 contract. The current version unifies the previous V2 version and allow to run in DOW JONES and NASDAQ with the same system.

 

Sample instance in real, launched in NASDAQ, for validation of the unified version. Launched with 0.5 contracts and low MM.

 

Sample instance in real, launched in DOW JONES, for validation of the unified version. Launched with 0.2 contracts and low MM.

With this product license, we offer access to all updates of this strategy and customer support during the license period.  You can participate in our support groups, and we can offer to you recommendations about configuration and reinvestment modules, system selection, drawdown and recommended equity…. even portfolio suggestions and coexistence with other systems.

 

New 2024 Prices! We have significantly reduced prices in 2024, so don’t expect further offers as we will not be reducing prices further this year.

 –> Update as of March 2024: The SETH NAS and PLUG NIKKEI systems have been included, leading to an increase in the price of the TOTAL PACK. (Previous owners of the TOTAL PACK received these systems at no additional cost)

 

 

 

Take a look at our complete portfolio.  Stable and reliable systems for all kinds of market circumstances.  You can backtest and verify the latest results by yourself using our free and public demo: https://bit.ly/cfdautodemomp

 

Not CFD account? Looking for an algo for ProRealTime + Interactive Brokers? 

Let’s take a look at our specific vendor IBKR AutoTrading

We distribute our systems as CFD AutoTrading for CFD accounts, and as IBKR AutoTrading for ProRealTime + Interactive Brokers

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6 months, 1 year (10% off)

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Looks for rebounds and breakouts, increasing the portfolio's robustness in complicated scenarios

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