i meant " who cares " about the nature of the basket and the pairs, unless they are almost hedged ...
demo demo demo .
demo demo demo .
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DislikedHI anyone trading with this system ? i m having good results , 5 to 7 % weekly , i only add with same lot size to the best winning trade , and break even at 30 - 40 pips . i close the most negative with the best 1or 2 positive and always keep the basket hedged, i mean 6 pairs continuosly opened . I use only 6 pairs buy eu sell eg sell gu sell au buy aj sell uj that helps me to better control the basket , and also because the spread fot these pairs is 2-3-4 pips , other pairs have 7-8-9 pips . Let me know if you are doing fine ........Ignored
DislikedHI anyone trading with this system ? i m having good results , 5 to 7 % weekly , i only add with same lot size to the best winning trade , and break even at 30 - 40 pips . i close the most negative with the best 1or 2 positive and always keep the basket hedged, i mean 6 pairs continuosly opened . I use only 6 pairs buy eu sell eg sell gu sell au buy aj sell uj that helps me to better control the basket , and also because the spread fot these pairs is 2-3-4 pips , other pairs have 7-8-9 pips . Let me know if you are doing fine ........Ignored
Disliked{quote} Glad it's working for you tarrini. After you add to the best performing pair, what do you do if it turns against you before you can BE the trade. When do you decide to hedge it and with which pair?Ignored
DislikedIs there any"" advantage/statistical edge"" in "position building" over "sticking with initial entry"?Ignored
Disliked{quote} i focus mostly on the exit from a trade , because if a entry is wrong there will be another pair going in green , but the way to manage drawdown is to close the most negative , so there is an edge from exit , not on the entryIgnored
Disliked{quote} So u mean to say,"u diversify your portfolio with multiple pairs." Right? I think ,,if the long term exit strategy is profitable then "position building on little timeframes" is GREAT!Ignored
Disliked{quote} well, before adding i breakeven the best performing one , so in case it turns i have only the added one . I add again to the best performimg pair , same rule . There is a trick to avoid many breakeven close in choppy market , ( this causes drawdown to grow) . If you look a the pitbull indicator you can understand the start of a trend when the anchor change position, i mean , when the most negative becomes the second most negative and the second become the worst that can be a sign of a trend starting or turning. So you can decide to add positions...Ignored
DislikedI think I'll test it on my tester some time over the weekend and also demo it over the next few weeks.Ignored
DislikedHI anyone trading with this system ? i m having good results , 5 to 7 % weekly , i only add with same lot size to the best winning trade , and break even at 30 - 40 pips . i close the most negative with the best 1or 2 positive and always keep the basket hedged, i mean 6 pairs continuosly opened . I use only 6 pairs buy eu sell eg sell gu sell au buy aj sell uj that helps me to better control the basket , and also because the spread fot these pairs is 2-3-4 pips , other pairs have 7-8-9 pips . Let me know if you are doing fine ........Ignored
Dislikedyes, basically they are 2 currency rings , so it's a double 3 pairs hedging . does not matter how many buys and sells , unless it's a hedge ... how it is going courtneywild? after a year of pitbull are you having good results?Ignored