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Disliked{quote} Great work Burat. For anyone starting with a deposit smaller than 2k what is your recommendation.Ignored
Disliked{quote} I feel anything less than 2K for one pair with 0.01 lots is risky...the only way you will survive is if you run uncorrelated pairs so the drawdowns will not happen at the same time.Ignored
Disliked{quote} Thank you Noshali, in this safe to say that regardless of correlation or not. One cannot run more than one pair at the same time if account is smaller than 4kIgnored
Disliked{quote} Actually you can do 2K. I will share my testing of GBPUSD M1....the problem si that it takes over 8 hours to test from 2016-to date. Tomorrow I will share the results as testing till going on. The other thing is that if you do an analysis from 2016 to date..you see that for GBPUSD the DD happened in lets say May 2017 and for USDJPY the DD happened in June 2017..this means you can run to settings as DD for both does not happen at the same time....this is what I mean by correlation. If historical DD happen at different times then you should...Ignored
Disliked{quote} Thanks for you input Noshali, I have not been able to get a GBPUSD trade on a 1M chart. It seems this EA is more or less built for 5M and 15M.Ignored
DislikedGBPUSD M1 set file analysis.... Here is how I do my testing and try and optimize. We all know that grid type trading is VERY Dangerous. So how do we minimize risk. Entries should be very good…if entries are good then formation of grids will be better. I try and force less and less entries. This causes a problem that the EA trades very seldom and reduces our profit. To overcome that I use lower timeframe and use auto lot so it trades bigger lots as the balance grows. Following is the analysis on GBPUSD M1, set file is on post 800. My way of testing...Ignored
DislikedGBPUSD M1 set file analysis.... Here is how I do my testing and try and optimize. We all know that grid type trading is VERY Dangerous. So how do we minimize risk. Entries should be very good…if entries are good then formation of grids will be better. I try and force less and less entries. This causes a problem that the EA trades very seldom and reduces our profit. To overcome that I use lower timeframe and use auto lot so it trades bigger lots as the balance grows. Following is the analysis on GBPUSD M1, set file is on post 800. My way of testing...Ignored
DislikedGBPUSD M1 set file analysis.... Here is how I do my testing and try and optimize. We all know that grid type trading is VERY Dangerous. So how do we minimize risk. Entries should be very good…if entries are good then formation of grids will be better. I try and force less and less entries. This causes a problem that the EA trades very seldom and reduces our profit. To overcome that I use lower timeframe and use auto lot so it trades bigger lots as the balance grows. Following is the analysis on GBPUSD M1, set file is on post 800. My way of testing...Ignored