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Description of the strategy: A highly professionally developed strategy from a trader with 25 years of experience. The strategy is based on the breakdown of levels. It has been thoroughly tested over a 20-year history using the entire range of stress tests (spread widening, slippage, application in other markets, changes in parameters, etc.). Average annual return 173%. Maximum drawdown 26.3%. In portfolio mode, the average annual return is 225%, drawdown 15.2%. Work with a single entry with
Description of the strategy: A highly professionally developed strategy from a trader with 25 years of experience. The strategy is based on the breakdown of levels. It has been thoroughly tested over a 20-year history using the entire range of stress tests (spread widening, slippage, application in other markets, changes in parameters, etc.). Average annual return 362%. Maximum drawdown 41.3%. In portfolio mode, the average annual return is 225%, drawdown 15.2%. Work with a single entry with
Strategy Description: The strategy is based on the breakdown of levels. It has been thoroughly tested on 20 years of history. Average annual profitability is about 60-80%. Maximum drawdown 18.5%. Work by single entry with take profit and stop loss (no risky techniques such as martingale, grids, etc.). Application in portfolio mode (portfolio mode): I recommend to use in a portfolio with our "Unicorn GBPUSD" and "Unicorn XAUUSD" strategies because all three strategies were specifically d
Описание стратегии: Высокопрофессионально проработанная стратегия от трейдера с 25 летним опытом. Стратегия основана на пробое уровней для инструмента EURJPY и таймфрейма Н1. Прошла тщательное тестирование на 20 летней истории с применением всего спектра стресс тестов (расширение спредов, проскальзывание, применение на других рынках, изменение параметров и т.д.). Среднегодовая доходность 120%. Максимальная просадка 26%. В портфельном режиме среднегодовая доходность 183%, просадка 14%. Рабо