NORMAN'S LAB - MARKET ANALYSIS FINANCIAL MARKET ANALYTICS

Strategy #DX-43-88 on USDCHF: Bishop

INSTRUMENT
USDCHF (American dollar vs. Swiss frank)
INDICATORS AND TECHNIQUES USED
ATR, MACD, RSI, EMA
EXPIRATION
Expirated Wednesday, March 21, 2018!

NO NOTIFICATIONS

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History data source:
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REFRESH
Note: Simulation doesn't include margin required for position and commissions specific to broker. Spread is standardized to 10 points.
The chart showing Profit series.

Trades:
Profit Trades:
Loss Trades:
Best Trade:
Worst Trade:
Gross Profit:
Gross Loss:
Maximum consecutive profit
Maximum consecutive profit trades
Profit
Long Trades
Short Trades
Profit factor
Expected Payoff
Average Profit
Average Loss
Maximum consecutive loss
Maximum consecutive loss trades
Absolute drawdown
Maximum drawdown

WIN PROBABILITY
Instrument
Time opened
Action type
Lot size
Price opened
Time closed(Descending)
Price closed
Profit (USD)
Detail
No data to display
The chart showing Return series.
Count of trades opened in certain hour
The chart showing CountOfProfitTrades series, CountOfLossTrades series.
Count of trades opened in day of week
The chart showing CountOfProfitTrades series, CountOfLossTrades series.
The chart showing Buys series, Sells series.
ENTRY CONDITIONS
Difference of indicators EMA 50 H1 Close ($\nu_1$) and ATR H1 14 ($\nu_2$) scaled by EMA 12 M15 Close ($\nu_3$)MORE...
$|\frac{\nu_1 - \nu_2}{\nu_3} - \mu| \leq \lambda$
where $\mu = -0.08623$ and $\lambda = 0.90783 $
Difference of indicators EMA 89 M15 Close ($\nu_1$) and ATR H1 14 ($\nu_2$) scaled by EMA 12 M15 Close ($\nu_3$)MORE...
$|\frac{\nu_1 - \nu_2}{\nu_3} - \mu| \leq \lambda$
where $\mu = -0.50150$ and $\lambda = 0.34672 $
Range of indicator MACD M5 Close 14$_1$MORE...
$|\nu - \mu| \leq \lambda $ where $\nu$ is the indicator value, $\mu = -0.00024$ and $\lambda = 0.00010 $
Level of indicator RSI 14 M15 Close$_1$MORE...
$\nu \leq 70.00000$ where $\nu$ is value of indicator
Level of indicator RSI 14 H1 Close$_1$MORE...
$\nu \leq 60.87300$ where $\nu$ is value of indicator

POSITION MANAGEMENT
Place trade on open price of new M5 bar
StoplossDistance of stoploss from Bid is 30% of 30 D1 ATR (Average True Range) calculated from closed price of bar
No trailing
Takeprofit is set to 100% of stoploss distance from open price

Note: Symbol Point (p) = 0.00010
ENTRY CONDITIONS

POSITION MANAGEMENT


DISCLAMER: Trading futures and forex involves substantial risk and may not be suitable for all investors. Past performance is not necessarily indicative of future results. These results are based on simulated or hypothetical performance results that have certain inherent limitations. Unlike the results shown in an actual performance record, these results do not represent actual trading. Also, because these trades have not actually been executed, these results may have under-or over-compensated for the impact, if any, of certain market factors, such as lack of liquidity. Simulated or hypothetical trading programs in general are also subject to the fact that they are designed with the benefit of hindsight. No representation is being made that any account will or is likely to achieve profits or losses similar to these being shown. The testimonial may not be representative of the experience of other clients and the testimonial is no guarantee of future performance or success.
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