Good afternoon, Colleagues.
I present to you a brief description of my account EEE
1. Trading strategies.
When developing trading strategies, the following principles were applied:
- trading should be fully automated (through the use of robots), without the influence of human emotions;
- protection against blowing out the account as a result of one transaction should be set, so there is always a SL placed in reasonable limits;
- rejection of “toxic” methods of money management – grid, martingale, locking, hedging and other heresy are not used in any way;
- drawdowns should not be large in size and lengthy in time;
- do not use "exotic" instruments in trading, because due to low liquidity it is impossible to trade "normal" lot size;
- there must be several different strategies;
- the profit should be regular and the growth schedule should be stable.
- trading strategies should not require frequent reconfiguration (optimization);
Based on these principles, several strategies were developed during 2013-2014.
This trading system uses only EURUSD currency pair. Transactions are rather small. The average "check" is approximately 30 points (1.00300). Trading is conducted in the "active" trading time, when the London and New York exchanges operate.
This trading system uses several cross currency pairs. Transactions are small. The average check is approximately 5-15 pp. Trading is conducted at night, after the closure of stock exchanges in New York.
By these strategies, robots were made. During 2014, they were checked on real accounts. Since 2015, these robots are used on personal accounts with several brokers.
These trading strategies (and robots) are a private development and have never been published anywhere on the Internet.
2. Results of past work and possible expectations.
The results of the previous work can be viewed on the page of the EEE account.
And at the myfxbook https://www.myfxbook.com/members/Sergey5x5/theworldisyours/1860200
The difference between these monitoring is explained here:
Expectations of the period of 1 year (Underlying Strategy) :
The yield of the account is approximately 70 - 110%;
Max DD from a series of losing trades ~ 20-25%;
The situation in real time: