How to find traders and analysts to work in the office - page 10

 
_new-rena:
secret indicator
recursion however...
 
yosuf:
Only higher mathematics (HMM) can beat the market, human intelligence is only needed to create profitable strategies based on HMM. The market is not a human mind.
The graph is fine. There is no point in arguing. Question: is this your real trading or a test? Further, almost 50% profit was made on the last 15% of trades. You just hit a strong trend. Next time you will hit a strong "saw". And VM will not help you not to get there. You will be in a "saw" and will not know what to do and when it SHOULD end.
 
papaklass:

I try to increase NOT per unit of time, but for a certain number of transactions.

This approach reduces risk. It is better to make 100 trades with a profit of 10 pips than to make one trade with a profit of 1000 pips.

Mm-hmm. Chapay thinks)
 
yosuf:

No need to indiscriminately blame all indicators and VMs, see how my VM-based indicator is catching trends on H1 from early 2014 to date on Euro/Dollar at TP=400 and SL=20pp. (four digits):

Bars in history 6925
Simulated ticks 12847
Modeling quality n/a
Errors of chart mismatching 0
Initial deposit 1000.00
Spread Current (27)
Net profit 8391.08
Total profit 16619.49
Total loss -8228.41
Profitability 2.02
Expected payoff 1.60
Absolute drawdown 806.09
Maximum drawdown 2697.83 (51.09%)
Relative drawdown 86.48% (1452.17)
Total trades 5257
Short positions (% win) 3446 (22.75%)
Long positions (% win) 1811 (6.90%)
Profitable trades (% of all) 909 (17.29%)
Loss trades (% of all) 4348 (82.71%)
Largest
profitable trade 39.99
losing trade -3.20
Average
profitable trade 18.28
losing trade -1.89
Maximum number
continuous wins (profit) 100 (1405.31)
Continuous losses (loss) 313 (-598.32)
Maximum
Continuous Profit (number of wins) 1750.50 (44)
Continuous loss (number of losses) -598.32 (313)
Average
continuous winnings 12
Continuous loss 56

There has been a remarkable trend in the Eurodollar since the beginning of 2014. Only the laziest person has not noticed its start and flow. Try to attach your indicator to GBPNZD for example. If you get the same result - your indicator is really outstanding.
 
yosuf:
Only higher mathematics (HMM) can beat the market, human intelligence is only needed to create profitable strategies based on HMM. The market is not a human minded activity.
The main and fatal flaw of all indicators is tunable periodicity. It is adjusted on the basis of previous history, but history is not repeated due to the chaotic nature of the market. So, it seems that this property of chaotic nature should be used in trading. BUT NOT TO TRADE CHAOTICALLY! That's two big differences.
 
papaklass:

What a boast: they have doubled their deposit in six years.

Below is an example of what to strive for. Trading in 1 (!!!) week. With a deposit of $1 000.00.

And here is the report:


By selecting one week, you can show a million, try the same thing for several months in a row, without readjusting parameters and constant lot.
 
yosuf:
If you choose one week, you can show a million, try the same for several months in a row, without readjusting the parameters and with a constant lot.
That's right, then a 6 year test will not do. Only the test for the entire period of existence of forex will save you. In addition to the trading strategy, there is also a withdrawal strategy and the theory of relativity, as applied to the period of trading and depo growth.
 
gesolo:
There has been a remarkable trend in the Eurodollar since the beginning of 2014. Only the laziest person has not noticed its start and flow. Try attaching your indicator to e.g. GBPNZD . If it gives you the same result - your indicator is really good.

Please GBPNZD, since the beginning of 2012, without any papameter readjustments on D1, with a constant lot of 0.01:

Bars in history 1840
Modelled ticks 2677
Modeling quality n/a
Chart mismatch errors 0
Initial deposit 1000.00
Spread Current (441)
Net profit 15788.62
Total profit 17476.00
Total Loss -1687.38
Profitability 10.36
Expected payoff 19.09
Absolute drawdown 470.39
Maximum drawdown 4860.22 (56.87%)
Relative drawdown 63.38% (1729.58)
Total trades 827
Short positions (% win) 390 (87.44%)
Long positions (% win) 437 (81.01%)
Profitable trades (% of all) 695 (84.04%)
Loss trades (% of all) 132 (15.96%)
Largest
profitable trade 91.02
losing trade -52.21
Average
profitable deal 25.15
losing trade -12.78
Maximum number
continuous wins (profit) 122 (4499.02)
Continuous losses (loss) 15 (-411.37)
Maximum
Continuous Profit (number of wins) 4499.02 (122)
Continuous loss (number of losses) -411.37 (15)
Average
continuous winnings 19
Continuous loss 4

 
yosuf:
If you choose one week, you can show a million, try the same thing for several months in a row, without adjusting the parameters and with a constant lot.
Try the same for several months in a row, without adjusting the parameters and with a constant lot and on several pairs.
 
gesolo:
Try to do the same for several months in a row, without changing the parameters and with a constant lot and on several pairs.
As long as you watch GBPNZD, I'll do any pair you point to.