Has an 83% win rate. Current balance is $20,370 with $130,000 in withdrawals over 2 years. Lot sizes vary from 0.5 and under. Monthly target is 20-50% therefore we would consider this a high risk algo.
Uses risk management through pending orders which is a hedge strategy. Mixture of algo and manual trading system. Started with a $3100 investment and has withdrawn $3500. Currently trades from a $15,000 equity level. This algo is run through MQL5.
22 weeks old
309 users following the Algo with 1.4 million USD.
Manual trading system managed by SCR Traders. It is adapted to all currency pairs. Risk target per 1 position: 2% max. The position can be split into several parts. Risk target per day: 5%. Risk target per month: 15%. The developer has invested $6,500 into the system and has withdrawn $15,800 over time. They trade from a $17k balance.
The target was to build a solid, fully automated strategy with as minimal DD as possible. It opens positions based on overbought/oversold market conditions combined with other indicators to get correct entries. It usually holds position for less than 24 hours thus reducing drawdown for your account. Trades from a 4k balance and has withdrawn over $14k in profit.
Trades often but not every day. The basket of trades is closed at once, when either the trailing profit or break even is reached.
There is a protection that closes all trades at defined loss. For huge impact events, lot size is reduced. 20.81%