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THE BEST OF MY PORTFOLIO

 

ALL THE BEST OF MY PORTFOLIO IN “LIVE”

” 2023 “

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” JANUARY / MAY  – 2024 —  € 14.160,80 “

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At the bottom of the page you will find all the explanations of the algorithms, the Backtests but above all the LIVE.

 

All 13 algorithms at a special price:

 

Weekly Subscription Purchasable for only €39         

Monthly subscription can be purchased with a 5% discount, instead of €169 to €159

Quarterly subscription can be purchased with a 10% discount, instead of €507 at €456

Six-monthly subscription can be purchased with a 15% discount, instead of €1,014 at €859

Annual subscription can be purchased with a 26% discount, instead of €2,028 to €1,499

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All algorithms, if necessary, will be updated to always have a better risk/return ratio.

To always obtain the best performance of the Portfolio, I will be able to add or replace 1 or more algorithms, in order to always get the most out of the Bots package, all at the subscribed price.

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ALL TIME FRAME

Evolution of the trading system

All time frame, that is possibility of using the algorithm in different time frames, can be used in 30 seconds, or in 1-3-5-15 minutes, based on the risk and index used.

Yes also to the index used, because it is a universal algorithm that has excellent performances on the NASDAQ, DAX and US500, in addition to these that I use in Live, other indices can be tried and tested (for example DOW J. obtains a very good performance by using it only for Short transactions), this is possible as the Bot is totally configurable in a very simple way (perfect even for beginners), you can decide whether to use it for Long and Short transactions, or alternatively to use only Long or only Short, you can decide to activate money management or deactivate it based on what you want to obtain from the trading system (both weekly and daily), based on your risk you can decide whether to use it with a single transaction per day, or with several transactions……above all you have 4 filters (they are proprietary indicators that I use in many of my trading systems), where you have the possibility of activating or deactivating them separately, this gives the possibility of using it with different time frames and with different indexes.

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Profit Management: Trailing Stop based on ATR was used, this way it adapts easily and with excellent results there are variations in the volatility of the index

The results: all results shown in both Backtest and LIVE are without “reinvestment of profits”

Capital Management: The trading system provides capital management to keep the Max Drawdown under control, but as described above it can be deactivated.

ALL TIME FRAME

Algorithm details

Entry time: 1pm – 10pm

Stoploss for long trades: 1.30%

Stoploss for Short trades: 1.05%

Trailing stop: yes

Weekend: If the business is open, it will be closed strictly by 10pm on Friday

Free choice on the number of contracts to use

 

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Evolution of “ALL TIME FRAME”

After a year and a half of excellent results in “LIVE”, there is now also the possibility of enabling and using “position management” .

This gives the possibility, if desired, to automatically increase “VERY GRADUALLY”the number of contracts to be used starting with 0.5 or €1 contracts

 

“BACKTEST – US500 5M ALL TIME FRAME”

“LIVE – US500 5M ALL TIME FRAME

UPDATED SEPTEMBER 21, 2023

 

“BACKTEST – NASDAQ 5M ALL TIME FRAME”

“position management   “with 1 Contract of €1

“LIVE – NASDAQ 5M ALL TIME FRAME

UPDATED JULY 28, 2023

 

“BACKTEST – DAX 1M ALL TIME FRAME”

“LIVE – DAX 1M ALL TIME FRAME

UPDATED  SEPTEMBER 21, 2023

 

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NASDAQ 15M BUY AT THE MINIMUM

 

More than €7,000 in just 15 months “REAL – NOT BACKTEST”

 

This strategy follows the trend, only with long positions

Market and time frame: The strategy can only be used on the NASDAQ index with a 15 minute time frame

For all results, both Backtest and LIVE, only a €1 contract was used

Profit management: The Trailing Stop based on the ATR was used, in this way it adapts easily and with excellent results there are variations in the volatility of the index

The results: All results shown in both Backtest and LIVE are without “profit reinvestment”

 

 

Capital Management:
the trading system involves capital management to keep the Max Drawdown under control

Algorithm details:
Stop loss for long trades is managed based on trading time up to:
4.00%

Long target
Adaptable to market volatility and trading time

Maximum earnings achieved:
  €505.90 with 1 €1 contract
Maximum withdrawal:
€601.40 with 1 €1 contract

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“BACKTEST – NASDAQ 15M BUY AT THE MINIMUM”

 

“LIVE – NASDAQ 15M BUY AT THE MINIMUM

UPDATED  MARCH 11, 2023

 

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NASDAQ 15M  TRIPLE SCREEN

 

 

Nasdaq 15M  “Triple Screen Analysis”

” The multi-time frame analysis (also used by the famous technical analyst Alexander Elder, who created the” Triple Screen Analysis “), is based on the identification of the primary trend on the upper time-frame and on the basis of this indication, it is used a shorter time-frame to identify an optimal timing for entering the financial market “

This algorithm uses “Triple Screen Analysis” as it has a specific indicator with Time Frame 2 hours, a different filter but with Time Frame 1 hour and input with “Screen” of the last 15 minutes

Enter the market Exclusively with Long operations

 

Capital management:

The trading system is capital managed for high performance with low drawdowns

Algorithm details:

Maximum Stop Loss:

1,15%

Trailing stop

Adaptable to market volatility 

Target Long

1,80%

Maximum earnings achieved:

 €294,50 with 1 contract of €1

Maximum withdrawal:

€194,40 with 1 contract of €1

 

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“BACKTEST – NASDAQ 15M  TRIPLE SCREEN

 

“LIVE – NASDAQ 15M  TRIPLE SCREEN

UPDATED   DECEMBER 7, 2023

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REVOLUTIONARY STRATEGY

 

 

Nasdaq     Revolutionary Strategy

 

The strategy works with a time frame of 3 minutes

The algorithm is effective with both long and short operations

Active capital management

Backtesting carried out until December 2020

Forward walk performed 70/30 without anchoring

DESCRIPTION OF BOT

 

Nasdaq    Revolutionary Strategy :

 

It operates exclusively at the opening of the American indices, and then based on price movements, enter the market with both Long and Short operations.

Everything can take place only and exclusively between 15:30 – 17:45

 

Capital management:

The trading system has a capital management to be able to obtain a high performance with a low drawdown, moreover it can only execute one trade per day.

 

Algorithm details

Entrance time                           : 15:30 – 17:45

Stoploss for Long operations:  1,15%

Stoploss for Short operations: 0.95%

Trailing stop                              : Yes

Max DrawDown                        : € 747,40   with 1 contracts of 1 €

Both Long and Short Target  : Adaptable to market volatility

Max Performance achieved      4,24%

Weekend  :        If the trade is open, it will be strictly closed by 16:00 on Friday

Free choice on the number of contracts to be used

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“BACKTEST – NASDAQ 3M REVOLUTIONARY STRATEGY

 

 

“LIVE – NASDAQ 3M REVOLUTIONARY STRATEGY 

UPDATED AUGUST 18, 2023

 

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NASDAQ 1H CONTRARY DIVERGENCE

 

Contrary divergences are excellent opportunities for continuation of the current trend, both in a rising and falling market

 

In an uptrend, a contrary bullish divergence occurs when with increasing lows there will be decreasing lows of the oscillator (lower than the previous one), vice versa in a downtrend with decreasing highs there will be increasing highs of the oscillator (higher than the previous one). previous ).

 

The operation described above is depicted below

 

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Algorithm details

Stoploss for Long operations:  3,50%

Stoploss for Short operations: 3,00%

Trailing stop                              : Yes

Max DrawDown                        : € 576,80   with 1 contracts of 1 €

Both Long and Short Target  : Adaptable to market volatility

Max Performance achieved      9,89%

 

Free choice on the number of contracts to be used

 

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“BACKTEST – NASDAQ 1H CONTRARY DIVERGENCE  

 

“LIVE – NASDAQ 1H CONTRARY DIVERGENCE  

 

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NASDAQ 15M INTRADAY

 

 

The strategy works with a time frame of 15 minutes

The trading system is effective with both long and short trades

Active capital management

Backtesting carried out until December 2021

Forward walk performed 70/30 without anchoring

The bot was subjected to a stress test with Monte Carlo software to be efficient and profitable

 

DESCRIPTION OF BOT

 

Enter the market with both Long and Short operations with mandatory closing of operations during the day, no overnight costs

Capital management:

The trading system has capital management for high performance with low drawdowns

Algorithm details:

Stoploss for long trades are managed based on trading time with up to:

0,65%

Stoploss for Short trades are managed on a trading time basis with a maximum of

   0,80%

Trailing Stops:

Yes

Target Long and Short

Adaptable to market volatility and trading time

Maximum earnings achieved:

€373,10 with 1 contract of €1

Maximum withdrawal:

€99,80 with 1 contract of €1

Closing by 21:30

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“BACKTEST – NASDAQ 15M INTRADAY

 

“LIVE – NASDAQ 15M INTRADAY 

UPDATED MARCH 12, 2023

 

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REVOLUTIONARY STRATEGY

 

US500     Revolutionary Strategy

 

The strategy works with a time frame of 3 minutes

The algorithm is effective with both long and short operations

Active capital management

Backtesting carried out until December 2020

Forward walk performed 70/30 without anchoring

 

DESCRIPTION OF BOT

 It operates exclusively at the opening of the American indices, and then based on price movements, enter the market with both Long and Short operations.

Everything can take place only and exclusively between 15:30 – 17:00

 

Capital management

The trading system has a capital management to be able to obtain a high performance with a low drawdown, moreover it can only execute one trade per day.

 

Algorithm details

Entrance time                           : 15:30 – 17:00

Stoploss for Long operations: 1,80%

Stoploss for Short operations: 1,00%

Trailing stop                              : Yes

Max DrawDown  : € 2.453,10  with 10 contracts of 1 €

Both Long and Short Target  : Adaptable to market volatility

Max Performance achieved      4,98%

Weekend  :     If the trade is open, it will be strictly closed by 16:00 on Friday

 

Free choice on the number of contracts to be used

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“BACKTEST – US500 3M REVOLUTIONARY STRATEGY 

 

“LIVE – US500 3M REVOLUTIONARY STRATEGY 

UPDATED     AUGUST 17, 2023

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US500  2H POSITION TRADING

 

This long-only trading system is a position strategy

The trading system has a capital management to be able to obtain a high performance with a low drawdown.

It has both Target and Trailing Stop both flexible, to better adapt to changing market conditions.

The algorithm has capital management to achieve a low DrawDown.

The Trading System stops working during periods of stock market decline, remaining completely stationary during periods of Panic Selling

The system in operation is shown below

 

Enter the market Exclusively with Long operations

 

Capital management:

The trading system does not provide for capital management

Algorithm details:

Maximum Stop Loss:

5,00%

Trailing Stop 

Adaptable to market volatility 

Target Long

Adaptable to market volatility 

Maximum earnings achieved:

 €1.931,40 (14,95%)  with 5 contract of €1

Maximum withdrawal:

€1.045,25 with 5 contract of €1

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“BACKTEST – US500  2H POSITION TRADING 

“LIVE – US500  2H POSITION TRADING 

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DOW J. 15M SEASONAL MULTIFRAME

 

The algorithm was created in 2021, put LIVE in July 2022 after having it in demo for over 8 months.

A perfect algorithm for the medium/long term, the Bot manages target stops and trailing stops based on trading hours, and therefore differs between before and after the opening of trading in the United States, as well as having a seasonality management.

Enter the market with both Long and Short trades

 

Capital management:

The trading system is capital managed for high performance with low drawdowns

Algorithm details:

Stoploss for long trades are managed based on trading time with up to:

0,90%

Stoploss for Short trades are managed on a trading time basis with a maximum of

   1,30%

Trailing Stops:

Yes

Target Long and Short

Adaptable to market volatility and trading time

Maximum earnings achieved:

€484,60 with 1 contract of €1

Maximum withdrawal:

€539,80 with 1 contract of €1

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“BACKTEST – DOW J. 15M SEASONAL MULTIFRAME 

“LIVE – DOW J. 15M SEASONAL MULTIFRAME 

UPDATED        OCTOBER 23, 2023

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DOW J.  15M INTRADAY

 

 

The strategy works with a time frame of 15 minutes

The trading system is effective with both long and short trades

Active capital management

Backtesting carried out until December 2021

Forward walk performed 70/30 without anchoring

The bot was subjected to a stress test with Monte Carlo software to be efficient and profitable

 

DESCRIPTION OF BOT

 Enter the market with both Long and Short operations with mandatory closing of operations during the day, no overnight costs

Capital management:

The trading system has capital management for high performance with low drawdowns

Algorithm details:

Stoploss for long trades are managed based on trading time with up to:

0,40%

Stoploss for Short trades are managed on a trading time basis with a maximum of

0,55%

Trailing Stops:

Yes

Target Long and Short

Adaptable to market volatility and trading time

Maximum earnings achieved:

€1.110,30 with 1 contract of €1

Maximum withdrawal:

€188,90 with 1 contract of €1

Closing by 21:00

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“BACKTEST – DOW J. 15M INTRADAY 

“LIVE – DOW J. 15M INTRADAY 

UPDATED       SEPTEMBER 27, 2023

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DAX  2H  EQUILIBRIUM

 

– The Trading System is effective with both Long and Short operations
– Free choice on the number of contracts to be used with a simple instruction downloadable in the Download
– Backtesting performed until November 3, 2017

At the bottom of the page, I attach the original made on November 3, 2017, as you can see. The gain has always been constant since November 3, 2017, naturally the one in use, 2 additional filters have been inserted (but the original has not been modified) ,this has allowed us to improve the Max DrawDown and the performance, which in the updated one has definitely improved.

 Having an algorithm, which has been earning cash for more than 6 years, gives security and reliability on future results

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The algorithm incorporates both trend and reversal strategies

This strategy works well in all market situations, both with low and high volatility (e.g. 2020)

“TREND FOLLOWING”

Following the trend is one of the most effective and easy-to-use methods to make money by trading on a market.

“Reverse Trading Strategies”

The main reason for an inverse strategy is that it gives us the opportunity to enter the trading system very close to support or resistance.

Below you can see both situations:

In the first figure, you can notice a strong bullish trend, the algorithm enters 3 times always following the primary trend always going to target.

In the following two figures, the TREND and REVERSE is depicted.

At the end of an uptrend there is usually a directional loss and often less volatility is seen with prices in a narrow range, before seeing a market reversal.

The following example is in an uptrend, but it also happens slavishly in a downtrend

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“BACKTEST – DAX 2H EQUILIBRIUM

 

“LIVE – DAX 2H EQUILIBRIUM 

UPDATED       JUNE 20, 2023

 ORIGINAL FROM NOVEMBER 3, 2017 ALWAYS POSITIVE

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NASDAQ 15M PERFECT BREAKOUT

 

Enter the market with both Long and Short trades
Capital management:
The trading system is capital managed for high performance with low drawdowns and can only execute one trade per day

Algorithm details:
Stoploss for long trades are managed based on trading time with up to:
1.20%
Stoploss for Short trades are managed on a trading time basis with a maximum of:
1,35%
Trailing Stops:
Yes
Target Long and Short
Adaptable to market volatility and trading time
Maximum earnings achieved:
€1.361,40 with 1 Contract of €1
Maximum withdrawal:
€224,20 with 1 Contracts of €1
Weekend :
If the trade is open, it will be strictly closed by 10pm on Friday

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“BACKTEST – NASDAQ 15M PERFECT BREAKOUT 

“LIVE – NASDAQ 15M PERFECT BREAKOUT 

 

 

Additional information

Subscription Time

1 Week, 1 Month, 3 Months, 6 Months, 1 Year

1 review for THE BEST OF MY PORTFOLIO

  1. alexandre.marlier (verified owner)

    for me by far the best package of algos on the marketplace. it is cheap compared to be the value provided that is tremendous. Mauro also provides strong support and is very repsonsive to any request. I strongly recommand

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THE SEASONALITY OF GOLD

Over the years, statistical studies have shown that there is a seasonality on the financial markets that can be favorably exploited, one of the most famous seasons on the financial markets is that of gold. This algorithm exploits the opportunity given by seasonality by modifying the number of contracts used

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DAX 2H “EQUILIBRIUM”

€8,500 OVER THREE YEARS AND SIX MONTHS FOR EXTREMELY LOW DRAWDOWN -- "IN REAL - NOT BACKTEST"

99

19

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NASDAQ REVOLUTIONARY STRATEGY

€3,300 --- IN NINETEEN MONTHS LIVE --- NOT IN BACKTEST

39

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