DislikedReally wish I would have gotten out of the EUR/CHF trade yesterday. This thing has been running for 3 weeks and a thousand pips. I'm close to a L3 trade opening on this pair.Ignored
Ready for action!
Mart
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DislikedReally wish I would have gotten out of the EUR/CHF trade yesterday. This thing has been running for 3 weeks and a thousand pips. I'm close to a L3 trade opening on this pair.Ignored
DislikedPAGE 50 POST 744 I GIVE MY 1 YEAR REPORT TRADING VERSIONS 1-5 FROM AUG. 16, 2009 TO AUG. 16, 2010.
10 WINNING MONTHS AND HAD 2 LOSING MONTHS TOTAL PIPS WON IN ONE YEAR = 19,276
AND THAT WAS POSTING EVERY TRADE BEFORE I TOOK THEM.
JULY 2010 ONLY 2 WEEKS TRADING THIS METHOD +2121 p.21 post #304
OK The first 3 sections of version 5 are ready. I have tried to make sure everything works but please demo the different sections to make sure they work properly with...Ignored
DislikedYou are not the only one Sir, same here. I do not know why I have a dislike of closing trades which have come to BE by use of L2 and L3. Anyhow, I suspect a few more are in our position. This demonstrates the need for a thread to discuss open trades. If Bob wants I can start it but I think since it is his system he should start it and we can take it from there. It would be very useful.
kind regardsIgnored
DislikedI understand you. My L3 level has just triggered a couple hours ago.
Ready for action!
MartIgnored
DislikedYesterday I closed with over 400 pips but if you notice I took 5 BE or almost BE trade. Some made small profit some made a small loss but when I get back to BE on some of these L1 trades I just get out and look for a better entrance. Sometimes the entrance just wasnt that good and you just get out and try again. Not everything can be a home run.
cad/jpy -43 +58
eur/aud +15
eur/jpy -26
usd/chf -10
usd/jpy +20Ignored
DislikedBob and I are using thehttp://cdn.forexfactory.com/images/attach/mq4.gif iExposure.mq4 (7.8 KB, 54 views) indicator (since FX Sol. has an issue with the ibreakeven indicator) to determine the BE point of multi-level trades. How difficult would it be to include swap with the calculation. As it is now, it only looks at open positions and if you've held them for several days, you may have lost a good bit to swap. So BE calculation isn't the true BE...Ignored
QuoteDislikedprofit=OrderProfit()+OrderCommission()+OrderSwap();
int Analyze() { double profit; int i,index,type,total=OrdersTotal(); //---- for(i=0; i<total; i++) { if(!OrderSelect(i,SELECT_BY_POS)) continue; type=OrderType(); if(type!=OP_BUY && type!=OP_SELL) continue; index=SymbolsIndex(OrderSymbol()); if(index<0 || index>=SYMBOLS_MAX) continue; //---- ExtSymbolsSummaries[index][DEALS]++; profit=OrderProfit()+OrderCommission()+OrderSwap(); ExtSymbolsSummaries[index][PROFIT]+=profit; if(type==OP_BUY) { ExtSymbolsSummaries[index][BUY_LOTS]+=OrderLots(); ExtSymbolsSummaries[index][BUY_PRICE]+=OrderOpenPrice()*OrderLots(); } else { ExtSymbolsSummaries[index][SELL_LOTS]+=OrderLots(); ExtSymbolsSummaries[index][SELL_PRICE]+=OrderOpenPrice()*OrderLots(); } } //---- total=0; for(i=0; i<ExtSymbolsTotal; i++) { if(ExtSymbolsSummaries[i][DEALS]>0) total++; } //---- return(total); }
DislikedNB looking at your daily how do you have so many trades? Are you using different set up than what we see as I only had sell on chfjpy....I did take a iffy usdjpy and ended the day with +204 but I don't see the other trades you mentioned.
Just curious...Ignored
DislikedI take all sorts of trades, primary, secondary, 1x3 crosses, bulges, some trades both L1 and L2 were profitable. sometimes I take that quick jpy session profit and it reenters again later in the day. You notice I have 10 possible trade scenarios set up for the day. More may show up as the day progresses. I will switch from the 1 to the 3 or 4 if the 3 is at the S/R level or previous primary trade. There is a lot more than the basics. I react to price action and my reads from the RWB and BB bands. You will see other trades when they show up during...Ignored
DislikedNot sure if this is a set up as the red macd line is not below the 15. I remember reading that this being a secondary trade sometimes the red line does not get below the 15 but it still could be a set up.
I put on a #4 and was triggered in. Is this correct please let me know if this is wrong.
Oh on my chart I do have four weeks up for some reason it only prints 3 weeks when I save screen shot....Ignored
DislikedI take all sorts of trades, primary, secondary, 1x3 crosses, bulges, some trades both L1 and L2 were profitable. sometimes I take that quick jpy session profit and it reenters again later in the day. You notice I have 10 possible trade scenarios set up for the day. More may show up as the day progresses. I will switch from the 1 to the 3 or 4 if the 3 is at the S/R level or previous primary trade. There is a lot more than the basics. I react to price action and my reads from the RWB and BB bands. You will see other trades when they show up during...Ignored
DislikedThanks NB I thought I was missing something...LOL...probably because I am learning ............Ignored
DislikedYou are missing something - experience.
Bob has been trading this strategy for a very long time now and he is almost certainly unconsciously reading price action, based on the market movements. This is a skill which develops after many, many hours of watching trades develop.
Eventually the brain begins to 'recognise' sequences of events based on the candles, lines etc as it has seen them so many times before.
IMHO best not to try and keep up with Bob, but just take things at a very slow pace, one trade at a time. Fully analyse each trade...Ignored
DislikedHere are the ea's with Max's flexible re-entry code in the right place, so that it has some effect.
Ignored
DislikedThanks for this Steve - looks like #1 SELL still needs the change to iBands shifted by 1.
#1 BUY is OK.
Cheers -Ignored
Dislikedhi, Steve, isn't the #4 Ea supposed to have the iband shift too? was just taking a look at the code and spotted this...
..sorry if i misunderstood..!Ignored