collapse

Author Topic: ORDequity PAMM-COPY : 50% MONTHLY Gain, only 8% DD : REVERSAL TRADING ALGORHYTM  (Read 2263 times)

Offline bismillahwd

  • PAMM and SIGNAL
  • Sr. Member
  • ****
  • Posts: 568
  • Private Trader Still - Hedge Fund Soon
    • https://ordequity.signalstart.com/
ORDequity : 50% MONTHLY, 8% DD : REVERSAL TRADING ALGORHYTM - WITH TIGHT Trading Hours and Fundamental Analysis (No GRID, Just TP and SL)


MAIN PAMM : https://www.alpari.org/strategy/ORD-Equity

Signal : ordequity.signalstart.com
https://ordequity.signalstart.com/analysis/ordequity/206998

NOTE : LOW SPREAD BROKER IS A MUST
recomended STP ECN, with NO SPREAD PADDING


New Signal 3 Time Risk :
https://www.signalstart.com/analysis/ordequity3xrisk/207352

Im curently developing Trading System that calculating Dailly Highest Price for Sell Entry, and Lowest Price for Buy Entry

Real account with 1:200 Leverage

No Martingale, Grid or anything near it.

Each trade was independent wiht Single TP and SL



No worry about slippage, this is not HFT (Non High Frequency Trade)



Performance was showing here :
https://www.myfxbook.com/members/ORDExhaust/ord-equity/8342800

Want to copy signal :
https://www.mql5.com/en/signals/975270?source=Unknown



Everything beyond my expectation, since my main goal for BEP is arround 4 month, and drawdown was calculated maxed at 20%

Its not Totally Technical, but also FUNAMENTAL, with sophisticated News Reading to predict price.

Its aiming 5-20 pips per position

max per pair opened 4 trade

drawdown maxed 20-25% and

cut loss will be done by 15%

Running arround 8-10 Pair.



OUR ADAPTIVE TECHNOLOGY TRADING SYSTEM IN POSITION OF : 50% PROFIT - WITH EQUITY MAXED 7% DD, in LESS than one month.

We are twice step ahead from our two month targetted goals

Surprisingly, WITH NO SINGLE DAY IN LOSS.!

We create the algorhytm not just in single code and done.

And we never sell Our System as EA, Since We continuing to adapt developed the Algorhytm to keep up with current markets condition.


With Walkforward Analyst Each 2 Days, Its never been 100% Autotrading System.



New Pair was added, like USDCHF, GBPUSD And soon You will see CHFJPY and EURJPY took the trades too.

We keep mixing the Moneymanagement and Risk Management Further to suppressed Drawdown, while maximizing Equity Growht

Remember, this Adaptive Algorhytm is not 100% TECHNICAL,

But its read and calculated FUNDAMENTAL ANALYIST of EACH Curency

NB : New Surprise will coming soon to push the Break Even Point (100% Profit) FASTER,



HAPPY PROFIT, HAPPY TRADING


report daily will be provided here, if im not forgot





This signal is opened for public,

I had other Account with higher leverage that running Higher risk 3 times, with higher leverage 1:500, Published Soon
Its here :
https://alpari.finance/en/invest/pamm/491907/#chat

Feel free to join the PAMM, COPYTRADE or COPY signal.

There also higher deposit Account 20K too. But i dunno if im allowed to post My FX Book in here


(actually, i wanted it to be lower cost signal, but default is 30usd from MQL5)





Best Regards, and Happy Profits







PAMM :
https://www.alpari.org/strategy/ORD-Equity
https://alpari.finance/ru/invest/pamm/491907/#pamm-return

SIGNAL :
https://ordequity.signalstart.com/
https://www.zulutrade.com/trader/128850
https://www.mql5.com/en/signals/975270?source=Unknown

Offline rsmereka

  • Jr. Member
  • **
  • Posts: 93
    • Future Lab
FYI,

Your MyFXBook link points to your portfolio, which is private to you. Please use the MyFXBook public link which can be used by everyone.


Offline diyforexskills

  • Verified Vendor
  • Hero Member
  • ***
  • Posts: 2222
... and could you make the History trades Public so that we can see the sort of trading being done?
Information, rebates and products -
http://www.diyforexskills.com


Offline rsmereka

  • Jr. Member
  • **
  • Posts: 93
    • Future Lab
... and could you make the History trades Public so that we can see the sort of trading being done?
+1

Offline bismillahwd

  • PAMM and SIGNAL
  • Sr. Member
  • ****
  • Posts: 568
  • Private Trader Still - Hedge Fund Soon
    • https://ordequity.signalstart.com/
Thanks God,
We are in position of : 75% Gain in 5 weeks, Drawdown keept under 10%
Much faster than we predicted,

Since we area keept evolve and adapt our algorhytm
New System and Strategies Keep beeing monitored and evaluated on DAILLY BASIS Now

We adding more diversifitation smoothly with new self learning machine algo, and also doin walkforward analysist on Dailly Bassis
So we adding few more curency pair like EURCAD, EURNZD, USDCHF, that not correlated with our old system
Thus the old system keep beeing revised continuilly, Wich perform good we keept adding position with a bit higher risk. While the lower perform we keept running with lower risk, while maintaining the self learning and walkforward until we satisfied.

The End Results is, we keep pushing the equity drawdonw lower, while Equity Curve Smoother in REAL LIFE TRADING

Happy Profits, Happy Trading


Offline bismillahwd

  • PAMM and SIGNAL
  • Sr. Member
  • ****
  • Posts: 568
  • Private Trader Still - Hedge Fund Soon
    • https://ordequity.signalstart.com/
... and could you make the History trades Public so that we can see the sort of trading being done?
+1
ok, thanks pall

lets re check, idk if im doin it right.
i think its done now

i want to make widget to as signature

Offline diyforexskills

  • Verified Vendor
  • Hero Member
  • ***
  • Posts: 2222
Thanks. That's helpful.

Doing great so far. What do you think is a reasonable long term performance? 50% pm is fantastic for starters but not sustainable. In Alpari you say "drawdown maxed 20-25% and cut loss will be done by 15%". What do you mean by that? If equity falls 15% you close all trades?
Information, rebates and products -
http://www.diyforexskills.com


Offline rsmereka

  • Jr. Member
  • **
  • Posts: 93
    • Future Lab
... and could you make the History trades Public so that we can see the sort of trading being done?
+1
ok, thanks pall

lets re check, idk if im doin it right.
i think its done now

i want to make widget to as signature
Looking good now.

I have added your signal to my signal watch list.

Thanks

Offline bismillahwd

  • PAMM and SIGNAL
  • Sr. Member
  • ****
  • Posts: 568
  • Private Trader Still - Hedge Fund Soon
    • https://ordequity.signalstart.com/
Thanks. That's helpful.

Doing great so far. What do you think is a reasonable long term performance? 50% pm is fantastic for starters but not sustainable. In Alpari you say "drawdown maxed 20-25% and cut loss will be done by 15%". What do you mean by that? If equity falls 15% you close all trades?

No, its not that kinda "Stoploss Equity 15%" and suddenly close trade

Lets say, worst case scenario after fundamental analyst and technical done, we open 1 position.
Then the price ran away beyond expected.
Equity drawdown could be happened arround 20% ish, on that one single position
Then At the of asian session usually the Algo will adding some 3-4 individual trade "SINGLE" position to gain balance with little bit scalping at slow ranging market.

Its not grid, because it had own TP and SL invidually, and every trade closed at different price from the 1st trade floating position

Not hedging to, but when posible and there is a profitable chance We will do it

And then, at european opening sesion, 90% probability chance the price would countered to retrace little bit,
thats the moment when i close the trade at very minimum loss that been predicted arround 15%
Everything will be calculated fundamentally too, No Big News, No Nothing


If i had chance, after this weekend
i will show screen capture how thats works out.

It happened in early february on EuroCHF, and thats not 15%.
Only 3% losses after we made 5% gain on other curency pair
So its still beautifull 2% Profits day  ;D


Thats why we run multiple currency pair, because when there is big news coming up.
We dont do trade 5-6 hours before that moment related to the pair.

This scenario will do on my 1:200 leverage
The 3 times risk account will be different.


Offline bismillahwd

  • PAMM and SIGNAL
  • Sr. Member
  • ****
  • Posts: 568
  • Private Trader Still - Hedge Fund Soon
    • https://ordequity.signalstart.com/

Oh ya, this scenario happened too on USDCHF this day, if you watch myfxbook

Small percentage equity cut loss at european session
After we eat Tons Of pips hours before.

So, its a beautifull 4% profits day too, for happy weekend

Offline bismillahwd

  • PAMM and SIGNAL
  • Sr. Member
  • ****
  • Posts: 568
  • Private Trader Still - Hedge Fund Soon
    • https://ordequity.signalstart.com/
anw, i got banned temporarryly in MQL5 until 28 april

I dont know much about rules for signal there

So, please admin and moderators. Remind me if im doin something wrong on posting.

Thanks,


ORDequity

Offline diyforexskills

  • Verified Vendor
  • Hero Member
  • ***
  • Posts: 2222
Thanks. That's helpful.

Doing great so far. What do you think is a reasonable long term performance? 50% pm is fantastic for starters but not sustainable. In Alpari you say "drawdown maxed 20-25% and cut loss will be done by 15%". What do you mean by that? If equity falls 15% you close all trades?

No, its not that kinda "Stoploss Equity 15%" and suddenly close trade

Lets say, worst case scenario after fundamental analyst and technical done, we open 1 position.
Then the price ran away beyond expected.
Equity drawdown could be happened arround 20% ish, on that one single position
Then At the of asian session usually the Algo will adding some 3-4 individual trade "SINGLE" position to gain balance with little bit scalping at slow ranging market.

Its not grid, because it had own TP and SL invidually, and every trade closed at different price from the 1st trade floating position

Not hedging to, but when posible and there is a profitable chance We will do it

And then, at european opening sesion, 90% probability chance the price would countered to retrace little bit,
thats the moment when i close the trade at very minimum loss that been predicted arround 15%
Everything will be calculated fundamentally too, No Big News, No Nothing


If i had chance, after this weekend
i will show screen capture how thats works out.

It happened in early february on EuroCHF, and thats not 15%.
Only 3% losses after we made 5% gain on other curency pair
So its still beautifull 2% Profits day  ;D


Thats why we run multiple currency pair, because when there is big news coming up.
We dont do trade 5-6 hours before that moment related to the pair.

This scenario will do on my 1:200 leverage
The 3 times risk account will be different.

Thanks for the detailed explanation.
Information, rebates and products -
http://www.diyforexskills.com



 

browse forum

* Recent Posts

Re: EUR/USD by fxopen78
[Today at 12:10:32 AM]


Re: Stock Trader Pro (via mql5.com) by ivanvp
[Yesterday at 12:46:04 PM]


Re: EVOnight EA by ivanvp
[Yesterday at 12:43:45 PM]


Re: EUR/USD by Eliza Abrams
[Yesterday at 12:00:44 PM]


Re: DIY Frequent Trader by diyforexskills
[Yesterday at 08:35:58 AM]


Re: EUR/USD by fxopen78
[May 05, 2021, 11:34:31 PM]


Re: ORDequity PAMM-COPY : 50% MONTHLY Gain, only 8% DD : REVERSAL TRADING ALGORHYTM by bismillahwd
[May 05, 2021, 05:51:19 PM]


Re: EUR/USD by Eliza Abrams
[May 05, 2021, 11:16:32 AM]


Re: Will cryptocurrencies like Bitcoin ever gain mass adoption? by Humble Trader's Fx
[May 05, 2021, 11:13:07 AM]


Re: EVOnight EA by LitnerGo
[May 05, 2021, 09:34:24 AM]