Strategy specialized in short positions and the expected market scenario for 2022 (#1 of the crisis series systems, acting as an hedge of stocks and traditional swing strategies)
–> BUNDLE VERSION:Â Â Includes the short-only and the long-only systems, to be run separately
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Strategy type:Â Â Trend following
Input signals:Â Crossing signals of different averages
Stop Loss:Â Always. Maximum of 0,86% for long positions, and maximum of 1,58% for short positions
Profit handling: Trailing stop by blocks based on ATR. Additional emergency exit based on indicators. Protection in breakeven. Dynamic target profit.
General comments: Robust and simple strategy to leave it run. No aim to have nice-looking ratios; just aim to be solid and profitable over time.
Others: 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 available and visible code.
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We use this algo (all our algos) in real account since created. And for now, our updates enhanced the previous results.
[Run and check yourself complete statistics in the downloadable demo for backtest. You can also join our Discord channel to see all the history, how we work, ask us something, see historical results or conversations and doubts with other customers…]
What you see is what you get: No short periods shown, no make up the DD. We made and upgrade our algos trying to do not overfit. Consider the OOS of the strategy and version. Any result table always show Out Of Sample periods.
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