This strategy takes trades on an intra-day level based on Daily breakout situations. All positions have an SL and TP and are automatically managed on the basis of a trailing stoploss module. The strategy trades 6 pairs around the clock except for spread sensitive hours.
Risk is set to low with a risk target of 0.30% per trade. The measured max drawdown target comes in at 8% based on a high quality tickdata test since 2004. We prefer a low risk & stable reward approach. You can change the risk in the Signal Start settings according to your own preferences.
Open Date | Close date | Symbol | Action | Lots | SL | TP | Open | Close | Pips | Profit | Duration | Gain |
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-18.5 |
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758.0 |
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9.9 |
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-46.8 |
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3.0 |
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-21.3 |
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-6.6 |
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-760.0 |
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-16.0 |
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-46.1 |
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