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If you calculate by more than 5000 parameters, then maybe you don't need pair trading, you can trade on one instrument?
Remember my original homework - to make 800 out of 10k - on one pair - Once you have solved this problem and you can start trading other pairs in order to diversify risks... but not vice versa :)
Forward is working in real time. In the test multicurrency robot without indicators. The trend of each pair is detected and an entry is made. There are 28 pairs in the analysis, trades every 12 hours and 9 selected pairs are opened. The only parameter that affects the adjustment is the period of trend detection.
Interesting equity. How is the system doing now?
Interesting equity. How is the system doing now?
In essence it should be the same. There is a nuance in algorithmic trading called phasing. I cannot conquer this phase and therefore my system, like any other, is doomed to wiggle around zero.
It's kind of twisted and not really clear. If you say "if you trade manually" is it the same thing?
In essence it should be the same. There is a nuance in algorithmic trading called phasing. My system, like any other, is doomed to wiggle around zero.
So you haven't found a single system that gives positive results for a long time yet???
It's kind of twisted and not really clear. If you say "if you trade manually", is it the same thing?
You mean you haven't found a single system that gives positive results for a long time?
I found it, it's just that the profitability compared to the drawdown is obscenely low.
You trade in forex, don't you? It would be interesting to test something similar in equities.
A system with a maximum drawdown of 50% and annual average profit of 10% goes straight to the basket. Anything that gives an average annual profit/max drawdown <=1 is not suitable for trading.