This strategy uses basic indicators in a multi-timeframe environment, and only opens positions after 21:00 CET. The full code is provided, with no hidden indicators. Backtesting with a 3 point spread was done on CFD US Tech 100 Cash (1€) with a starting capital of 2000 $. The strategy uses a dynamic position sizing, which depends on the profit of the strategy, with a 5-minute timeframe.
The strategy can also be adjusted to a static position size by setting the desired value in row 52. This will still be profitable throughout the years and closes with a profit.
Strategy is live in this version since 24.10.2022 – 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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