for 3 months - + 26,614 PIPS

moneymaker01

Active Trader
Oct 21, 2009
2
0
32
sooo i want to ask you what are you think about that :
OTAL PROFIT 26,614 PIPS
15,935.39 USD
LAST WEEK PROFIT 2,118 PIPS
1,251.25 USD
OPEN POSITIONS/PENDING ORDERS 105 / 0
NUMBER OF TRADES 2,633
WINNING/LOSING TRADES 2,295 (87.2%) / 338 (12.8%) = 6.79
MAX OPEN POSITIONS 107
AVERAGE WIN/LOSE 15.48 USD / 54.33 USD = 0.28
MAX/MIN LOT SIZE 0.10 / 0.06
BALANCE MAX DRAWDOWN 654.08 USD
AVERAGE PROFIT PER WEEK 2,419 PIPS
1,448.67 USD
LARGEST LOSING TRADE -517 PIPS (-304.77 USD)
DETAILS
LARGEST WINNING TRADE 525 PIPS (361.07 USD)
DETAILS
MAX CONSECUTIVE WINNING TRADES 69 (412.34 USD)
MAX CONSECUTIVE LOSING TRADES 3 (-137.16 USD)

SYMBOL WEEKLY PIPS TOTAL PIPS WEEKLY USD TOTAL USD
ALL 2118 26614 1251.25 15935.39
CADCHF 180 2268 109.29 1326.31
EURAUD 70 1646 39.74 898.89
EURCAD 275 2043 163.94 1200.41
EURCHF 0 1865 0.00 1139.63
EURJPY 131 2782 92.53 1940.19
EURNZD 351 3000 154.34 1291.64
EURUSD 376 2546 228.60 1553.80
GBPCHF 226 2898 138.74 1698.77
GBPJPY 182 3274 128.17 2310.86
GBPUSD 219 2556 132.60 1556.40

i use max 15% from account for open new trades the stop loss is 15%
the result are : JUL AUG SEP

+5.90% +5.58% +3.70%
so what are you think about it ? when i star signals proved will someone join in my system or the people looking for higher results ?
 

moneymaker01

Active Trader
Oct 21, 2009
2
0
32
i don;t risk 15% for one pair i risk 15% for all pairs togehter and my monthly return it;s 5% 6% and it;s for long run strategy

i don;t risk 15% for one pair i risk 15% for all pairst togehter and i look the things in long run that mean 5 or 6 months that mean 6 months 6 % = 36% with risking 15%
 

Enivid

Administrator
Staff member
Nov 30, 2008
18,619
1,366
144
Odesa
www.earnforex.com
i don;t risk 15% for one pair i risk 15% for all pairs togehter and my monthly return it;s 5% 6% and it;s for long run strategy

i don;t risk 15% for one pair i risk 15% for all pairst togehter and i look the things in long run that mean 5 or 6 months that mean 6 months 6 % = 36% with risking 15%
That doesn't change much. If at any point there's 15% at risk in your current positions then there's a rather considerable chance of blowup.

BTW, what's the point in talking about the results of the strategy without showing it?