Introducing a dynamic trading strategy that utilizes multiple timeframes and basic indicators to generate profitable trades in the CFD Wall Street market. With a starting capital of $2000, this strategy opens positions only at 21:10 CET and is tested with a 3 point spread.
What sets this strategy apart is its dynamic position sizing, which is based on the strategy’s profit. This means that the position size adapts to the market conditions, maximizing your earning potential. Additionally, the full code and all indicators used are provided to ensure transparency.
Backtesting results have shown impressive returns and the strategy has a 90% win-loss percentage. It has been live in this version since 22.10.2022 and has been used to generate real-time results as of 04.01.2023. However, please note that past performance is not indicative of future results.
For those who prefer a static position size, the strategy can be easily modified by setting the desired position size in row 49. This strategy is also suitable for those looking to start with small capital, as the strategy can be profitable even with a small position size.
As Albert Einstein said, “Compound interest is the eighth wonder of the world. He who understands it, earns it… he who doesn’t… pays it.” Don’t miss out on the opportunity to join the ranks of those who understand and earn from the power of compound interest.
Strategy is live in this version since 22.10.2022 – Realtime results as of 29.11.2022 obtained with 0,5 contract size.
Realtime results as of 04.01.2023
Realtime results as of 01.02.2023
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