How EA strategy will be selected?
EA/ROBO strategy will bee selected based on Clients’ Capital
and based on Client’s Risk Preference
If You choose to have DrawDown of 10% = Then Expect ROI 30% to 40%
If DD 10% = ROI 30% to 40%
If DD 20% = ROI 50% to 80%
If DD 50% = ROI 150% to 300%
If DD 80% = ROI 400% to 1000%
If $1000 Capital = 1 strategy will be applied
If $10000 Capital = 5 strategies will be applied
If $100000 Capital = 12 strategies will be applied
If 1 Million Capital = all 25 Strategies will be applied
Each Capital RUN with different EA / different highly successful strategies
1- Trend trading
Trade based on high volatile market and pick the trade with 95% success ratio. SL & TP applied at the same time. Risk : Reward = 1:2 minimum to 1:10, follow by trailing SL to get maximum advantage of trend movement
2- EURUSD Hedge trading BUY/SELL
Both side trade will be done to maintain Drawdown from 2 to 5% only
3- 20 Pairs Trading base on 25 Indicators
20 position open always
Ex.
Buy Position open by Combination of 25 indicators
Once the BUY signal finished, Indicator will close the trade either in profit or loss (SL auto followed)
Same time SELL signal will be generated as per Indicator direction.
Drawdown = 1 to 5% maximum
4-Hedge trading with 20 pairs
5-Grid trading with maximum drawdown = 15%
6-Martingale in EURUSD @ SELL SIDE only
Max drawdown = 20%
7-GRID+Martingale in hedge pairs EURUSD vs USDCHF/USDJPY vs GBPUSD/AUDUSD vs NZDUSD/USDCAD vs USDCNH
8-Commodities USOIL Robo
9-Commodities XAUUSD Robo
10-Night ROBO which trades in Calm hours
SL & TP followed with 99% accuracy rate, 10pip gain 30pip Risk
11-Scalping 24×7 hrs by RSI/BollingerBand/CCI Indicaotor/MACD/
14pip Gain 7 pip SL
12-Pattern Breakout trading as per Candlestick pattern
19 Script will be connected
SL/TP followed
Stop Loss Order BUY or SELL side will remain in Pending order
20 Limit order strategy by following Resistance/Support of Pivot line-Major Pairs
Safe and consistent retrun
SL/TP followed
Accuracy = 85%
21 Fibonaccis Level Trading = Major Pairs
SL/TP followed
Accuracy = 90%
22-BTC trading
SL/TP followed.
Entry Exit as per 20 Indicators
23-Volume breakout Trading
SL/TP followed
Put/Call Ratio+Analyzie ECN Broker Volume for Entry
Exit will be followed by Trailing SL
24-Long Term trading by holding for minimum 100pips with 50pip SL
USE Daily Chart for Entry/Exit
Less Trades
Holding period 1week to 1 month
Accuracy = 75% maintain in consistent basic
25-ADX+Fast/Slow Moving Averages Crossover trading
Entry/Exit followed by -Ve or +Ve Cross Over
NOTE:
1st Option
Client can provide 1 Master accounts and we will set 25EA in different charts with separate magic number
2nd Option
Client can provide separate 25 MT4/MT5 accounts and we will set each EA individually
Major pairs and Minor Pairs both are supported