1 (edited by tylevay 2013-01-05 01:20:51)

Topic: 15 Min Good Strategy

Please, tell me what do you think about this my friends. A little agressive, but a good one i belive.

Please, send your opinions

EUR / USD 15MIN


Market: EURUSD 15 Minutes
Spread in pips: 0,00
Swap Long in pips: 2,00
Swap Short in pips: -2,00
Commission per lot at opening and closing in pips: 1,00
Slippage in pips: 0

Use account % for margin round to whole lots
Maximum open lots: 0,70
Entry lots: 30,00% of the account for margin
Martingale money management multiplier: 10,00

Intrabar scanning: Not accomplished
Interpolation method: Pessimistic scenario
Ambiguous bars: 0
Tested bars: 19949
Balance: 21020 pips (31020,30 USD)
Minimum account: -1782 pips (8217,80 USD)
Maximum drawdown: 5168 pips (5168,10 USD)
Time in position: 97 %

[Strategy Properties]
     A same direction signal - Does nothing
     An opposite direction signal - Reverses the position
     Permanent Stop Loss - 1692
     Permanent Take Profit - 5000
     Break Even - None

[Opening Point of the Position]
     Bar Opening
     Enter the market at the beginning of the bar
     Base price  -  Open

[Opening Logic Condition]
     Parabolic SAR
     The price is higher than the PSAR value
     Starting AF  -  0,02
     Increment  -  0,01
     Maximum AF  -  0,11

[Opening Logic Condition]
     Parabolic SAR
     The price is higher than the PSAR value
     Starting AF  -  0,58
     Increment  -  0,02
     Maximum AF  -  0,01

[Opening Logic Condition]
     CCI Divergence
     Long if bullish divergence
     Smoothing method  -  Simple
     Base price  -  Typical
     CCI period  -  57
     Use previous bar value  -  Yes

[Closing Point of the Position]
     Close and Reverse
     Close all positions and open a new one in the opposite direction

Post's attachments

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Re: 15 Min Good Strategy

You use a Martingale money management multiplier of 10,00...

Extreme risky, not a good idea at all if you ask me. Your account will go blank very fast if you have a losing-streak.
Also your 30% account risk is pretty high, good strategies use 5-10% max.
Good luck!

Re: 15 Min Good Strategy

please attach CCI Divergence indicator ,

tylevay wrote:

Please, tell me what do you think about this my friends. A little agressive, but a good one i belive.

Please, send your opinions

EUR / USD 15MIN


Market: EURUSD 15 Minutes
Spread in pips: 0,00
Swap Long in pips: 2,00
Swap Short in pips: -2,00
Commission per lot at opening and closing in pips: 1,00
Slippage in pips: 0

Use account % for margin round to whole lots
Maximum open lots: 0,70
Entry lots: 30,00% of the account for margin
Martingale money management multiplier: 10,00

Intrabar scanning: Not accomplished
Interpolation method: Pessimistic scenario
Ambiguous bars: 0
Tested bars: 19949
Balance: 21020 pips (31020,30 USD)
Minimum account: -1782 pips (8217,80 USD)
Maximum drawdown: 5168 pips (5168,10 USD)
Time in position: 97 %

[Strategy Properties]
     A same direction signal - Does nothing
     An opposite direction signal - Reverses the position
     Permanent Stop Loss - 1692
     Permanent Take Profit - 5000
     Break Even - None

[Opening Point of the Position]
     Bar Opening
     Enter the market at the beginning of the bar
     Base price  -  Open

[Opening Logic Condition]
     Parabolic SAR
     The price is higher than the PSAR value
     Starting AF  -  0,02
     Increment  -  0,01
     Maximum AF  -  0,11

[Opening Logic Condition]
     Parabolic SAR
     The price is higher than the PSAR value
     Starting AF  -  0,58
     Increment  -  0,02
     Maximum AF  -  0,01

[Opening Logic Condition]
     CCI Divergence
     Long if bullish divergence
     Smoothing method  -  Simple
     Base price  -  Typical
     CCI period  -  57
     Use previous bar value  -  Yes

[Closing Point of the Position]
     Close and Reverse
     Close all positions and open a new one in the opposite direction

Re: 15 Min Good Strategy

Hello tylevay and thanks for your inputs   please  share your strategy at strategy repository