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There are some good specimens.
Well, maybe someone else will need it:)
Happy 23rd!
MIDDLE
GEPS + DIVERGENCE
D1 no divergence but gaps + covvergence
+70п
Signals can be watched directly on the demo, just wrote the password and broker's account
my position was off - sorry but the signal is working... There was a buy on both the yen and the pound
I will refresh a little
the signal was received! 11.02.2008 and it works till now
10k start at the end of the week 16k
2008.02.25 20:00 buy 1 1.00 1.4831 1.4728 1.4928
2008.02.25 20:00 buy 2 0.90 1.4831 1.4728 1.4928
2008.02.25 20:00 buy 3 0.90 1.4831 1.4728 1.4928
2008.02.26 12:45 s/l 1.00 1.4867 1.4867 1.4928 363.10 10363.10
2008.02.26 12:45 s/l 2 0.90 1.4867 1.4867 1.4928 326.79 10689.89
2008.02.26 20:00 buy 4 1.10 1.4916 1.4813 1.5013
2008.02.26 20:00 buy 5 1.00 1.4916 1.4813 1.5013
2008.02.26 20:00 buy 6 0.90 1.4916 1.4813 1.5013
2008.02.26 20:23 t/p 3 0.90 1.4928 1.4832 1.4928 875.79 11565.68
2008.02.27 00:00 modify 6 0.90 1.4916 1.4917 1.5013
2008.02.27 00:19 modify 5 1.00 1.4916 1.4984 1.5013
2008.02.27 00:19 modify 4 1.10 1.4916 1.4989 1.5013
2008.02.27 00:19 modify 5 1.00 1.4916 1.4989 1.5013
2008.02.27 00:20 t/p 4 1.10 1.5013 1.4989 1.5013 1070.41 12636.09
2008.02.27 00:20 t/p 5 1.00 1.5013 1.4989 1.5013 973.10 13609.19
2008.02.27 00:20 t/p 6 0.90 1.5013 1.4917 1.5013 875.79 14484.98
2008.02.27 20:00 buy 7 1.40 1.5127 1.5024 1.5224
2008.02.27 20:00 buy 8 1.30 1.5127 1.5024 1.5224
2008.02.27 20:00 buy 9 1.20 1.5127 1.5024 1.5224
2008.02.28 17:51 buy 7 1.40 1.5127 1.5163 1.5224
2008.02.28 17:51 modify 8 1.30 1.5127 1.5163 1.5224
2008.02.28 17:51 modify 9 1.20 1.5127 1.5128 1.5224
2008.02.28 17:51 s/l 7 1.40 1.5163 1.5163 1.5224 517.02 15002.00
2008.02.28 17:51 s/l 8 1.30 1.5163 1.5163 1.5224 480.09 15482.09
2008.02.28 20:00 buy 10 1.60 1.5224 1.5121 1.5321
2008.02.28 20:00 buy 11 1.40 1.5224 1.5121 1.5321
2008.02.28 20:00 buy 12 1.30 1.5224 1.5121 1.5321
2008.02.28 20:01 t/p 9 1.20 1.5224 1.5128 1.5224 1175.16 16657.25
----
no sells during the week
why ?
---
How's your owl doing?
how is your cootnik doing?
http://forum.masterforex-v.org
it is described here http://forum.masterforex-v.org/index.php?showtopic=8366
there is also the latest state and graphic pictures of transactions from 01 01 08 ->
how is your cootnik doing?
http://forum.masterforex-v.org
it is described here http://forum.masterforex-v.org/index.php?showtopic=8366
there is also the latest state and graphical pictures of transactions from 01 01 08 ->
and you can post your EA in ex.4 code here on the forum ?????
I searched on your site but did not find it.
By the way, if you need an EA with WACKENA indicators
http://bogie-enterprises.com/bogie-blog/bogie-neuralnetwork-1-installer/Yuraz,
How long do you think his profitability will last? Could it be for good?)
Nope, delyus. When designing an EA, you must build into it a certain period of time during which it must work stably profitably - with a given probability, and in a certain confidence interval of probability. That is an ideal answer approximately as follows: "for system A it is possible to guarantee for 95% that the probability of system death (for example, a drawdown of more than 40%) equals p = 1% with maximum 30% deviation from p (i.e. from 0.7 to 1.3%) within 1 year of operation.
P.S. Well such a system would be great. But I'm afraid the Wackena Expert Advisor does not meet these requirements at 3-month interval, as it has already shown 58.1% relative drawdown...
Yuraz,
How long do you think his profitability will last? Could it be for good?)
I'm not gonna live forever either.
i have to optimize, look for new takeaways, new stops, new parameters.
the market is changing - look how it's buckling.
the idea of entering at 18 gmt is interesting because it's usually an intraday 5th wave and the adaptive trawl with parameters also does its job
but the parameters have to be adjusted.
my improvement is in the analysis of levels on d1, although I test it on M1 M5 M15 so it's easier to observe the entry point
I try to avoid entering against the D1 trend, therefore the result is better
maybe i will use this system with my improvements in 2008 ...
math,
Is it possible to guarantee 95% that the probability of system death (e.g. a drawdown greater than 40%) is p = 1% with a maximum deviation of 30% from p (i.e. 0.7 to 1.3%) over a 1 year run//
it would be cool to throw that in for clients sometime))
yuraz,
i can't say i'm afraid of it. do you have any other ideas? like posting on pay.ru or something. by the way, vakena's advisor has disappeared and got caught and account blocked.