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S E L E K T I V E -FX-



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Hypothetical Monthly Returns (using typical broker commissions)

 JanFebMarAprMayJunJulAugSepOctNovDec
2007(1.2%)(3.6%)(2.6%)(1.8%)+1.6%+3.4%(0.1%)(1.1%)+1.6%(1%)+8.9%+4.5%
2008+2.7%(5.2%)(2.2%)(5.7%)(2.6%)(2.9%)(11%)+13.8%(11.1%)+25.5%+27.4%+8.1%
2009(11.5%)  -  (7.8%)  -    -  (4.3%)(3.7%)(12.3%)+0.2%+5.5%  -  +0.1%
2010(2.3%)+13.0%(35.2%)(42%)+51.8%+8.1%(33.2%)(38.9%)(72.1%)+107.5%(280.8%)(196.3%)
2011(74.2%)(101.4%)(30.5%)(13%)  -    -    -    -    -    -    -    -  
2012  -    -                                                              


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Show chart:  Standard  |  Monte Carlo
Technical Analysis:  Moving Average daysX

Instruments Forex
Strategies Unclassified
System started 1/20/2007 (61 months ago)
System developer Klaus Eisenmenger
(Last login to C2: 8/23/11 9:38)
C2 Score: 910

Vendor has created 1 other system. Show
The name of this system has been changed 2 times. Show



Recently Closed Trades

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System creator requested that closed trades data below be delayed by two days.

Live brokerage trade data is available for this system. Show broker data?

Hypothetical Trading Results
Opened ETB/S#Symbol PriceClosedPriceRiskP/L
1/13/10 8:30 BUY 705 EUR/AUD 1.55810 4/7/11 18:02 1.53953 Extreme ($137,618)
1/19/10 2:00 BUY 15 GBP/USD 1.64212 1/19
2:20
1.64300 Low $117
1/15/10 13:26 BUY 5 GBP/USD 1.62455 1/18
7:59
1.63355 Low $445
1/15/10 13:27 SELL 5 EUR/GBP 0.88501 1/18
7:58
0.88006 Low $399
1/12/10 13:45 BUY 10 GBP/USD 1.61625 1/13
3:37
1.62228 Low $593
1/6/10 13:36 BUY 30 EUR/USD 1.43571 1/8
8:52
1.44001 Normal $1,259
12/28/09 6:33 BUY 10 GBP/USD 1.59896 12/28
11:47
1.60001 Low $95
9/22/09 9:10 BUY 8 NZD/JPY 67.185 10/23
1:45
69.312 Low $1,849
9/24/09 4:51 SELL 4 GBP/JPY 144.555 10/12
7:51
142.561 Low $882
10/6/09 10:02 SELL 16 USD/CAD 1.05071 10/12
7:50
1.03274 Low $2,738
9/24/09 10:39 SELL 14 EUR/CHF 1.50945 9/30
8:35
1.51945 Low ($1,358)
8/2/09 19:22 BUY 4 GBP/USD 1.68205 8/17
6:19
1.62920 Normal ($2,118)
7/28/09 4:56 SELL 16 EUR/AUD 1.70208 8/12
2:36
1.72245 Low ($2,697)
8/3/09 10:13 BUY 6 CAD/JPY 89.765 8/11
10:05
87.123 Low ($1,637)
7/27/09 7:30 SELL 15 USD/CAD 1.07275 8/10
12:59
1.08880 Low ($2,242)

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Statistics

Analytics  
All Statistics Based on Hypothetical Results
Trades140
# Profitable50 (35.7%)
# months tracked62
Profitable months17 (27.4%)
Avg trade duration10.4 days
Annual return (compounded)0.0%
Average win$2,739
Average loss$2,996
Profit factor0.5:1
Max peak-to-valley drawdown (historical)88817.8%
drawdown periodNov 02, 2010 to Dec 29, 2010
Correlation w/ S&P0.015
Sharpe ratio-0.284
Keep after worst-case slippage 100.0%
Probabilities of future account loss  
Chance of 10% account loss100.0%
Chance of 20% account loss100.0%
Chance of 30% account loss100.0%
Chance of 50% account loss1.0%
Chance of 100% account loss1.0%
Average Profit to Drawdown (APD)-0.33
Average P/L per unit traded


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System Description









S E L E K T I V E -FX-


FOREX Trading


Preamble

The experience and knowledge of many years of practical trading have gone into the
S E L E K T I V E -FX- system.
The signals are generated by a self-developed indicator.
Otherwise the classic trading rules are observed.
Consistent risk management with fixed stop orders and profit taking that is as wide ranging as possible
For the reasons explained earlier, we ask you not to expect any wonders but rather a normal profit-loss relationship, as well as moderate drawdown and constant profit.
We are convinced that systems with a very high number of profit trades often function without any real risk management and, if the market goes against the position, work on the principle of hope. Sooner or later this almost always results in an unacceptable drawdown.
We differentiate between risk and money management. With our risk management strategy we control the limitation of losses through bad trades. With money management strategy we manage the projected profits in order to raise the total yield compared to the pure system yield.
S E L E K T I V E -FX- is a calm system. On average there is a signal 2-5 times a week.
(High frequency systems with many small profits also contain many small slippages and in the long run can incur enormous fees)
We inform our subscribers as to the the exact nature and time of the rise, the stop order and the profit limit.
Once a trade is placed, you do not need to worry any further. If neither the stop or the profit limit are reached and trade is about to close, this always happens at the same signal time.



SIGNALS

The S E L E K T I V E -FX- system makes trading easy.

The signals for opening and close of trade are always generated at the same time, between:

04:50 and 05:15 p.m. New York-,
22:50 and 23:15 Frankfurt-,
21:50 and 22:15 London-,
06:50 and 07:15 a.m. (07:50 and 08:15 summertime) Tokyo-,
08:50 and 09:15 a.m. (09:50 and 10:15 summertime) Sydney time,
on Friday one hour earlier




Since the system only rarely emits signals, a trade alarm is sent out around 1-3 hours earlier.

Each signal includes
at open:

Exact entry of the time and nature of the order.
The stoploss order and profit-taking limit

At close:

Exact entry of the time and nature of the order.



POSITION SIZES

The site collective2 trades in mini lots. We recommend the following maximum trading amounts:

$ 10,000 Account - 2 mini lots
$ 20,000 Account - 4 mini lots
$ 30,000 Account - 6 mini lots
$ 40,000 Account - 8 mini lots
$ 50,000 Account - 10 mini lots etc.

If you trade in whole lots, divide the contract numbers above by 10.

In normal circumstances we occasionally have a maximum of 4 trades open at the same time.



MONEY MANAGEMENT

We use a self-developed money management system to regulate the contract numbers to be traded on the basis of profit already made. This makes it possible to increase the system yield long-term.

For further details please email us at: egs.gmbh@web.de


We wish you every success!


EGS futures trading management
Klaus Eisenmenger CEO



S E L E K T I V E -FX-


FOREX Trading


PRÄAMBEL

In das System S E L E K T I V E -FX- sind die Erfahrungen und Erkenntnisse vieler Jahre praktischen Tradings eingeflossen.
Die Signale werden durch einen selbstentwickelten Indikator generiert.
Ansonsten werden die klassischen Regeln des Tradings beachtet:
Konsequentes Risikomanagement mit festgelegten Verlustbegrenzungsstopps und möglichst weitreichende Gewinnmitnahmen.
Aus vorgenannten Gründen bitten wir keine Wunder zu erwarten sondern ein übliches Gewinn-Verlustverhältnis, sowie, moderate Drawdowns und stetige Gewinne.
Wir sind der festen Überzeugung, dass Systeme mit einem sehr hohen Anteil an Gewinntrades oft ohne echtes Risikomanagement arbeiten und, wenn der Markt gegen die Position läuft, das Prinzip Hoffnung nutzen. Früher oder später führt dies fast immer zu einem nicht akzeptablen Drawdown.
Wir unterscheiden zwischen Risiko- und Geldmanagement. Mit unserem Risikomanagement steuern wir die Begrenzung der Verluste schlechter Trades. Mit unserem Geldmanagement verwalten wir erzielte Gewinne um die Gesamtrendite gegenüber der reinen Systemrendite zu steigern.
S E L E K T I V E -FX- ist ein ruhiges System. Im Durchschnitt gibt es 2-5 mal pro Woche ein Signal.
(Hochfrequente Systeme mit vielen kleinen Gewinnen beinhalten auch viele kleine Slippages und auf Dauer enorme Gebühren)
Wir teilen unseren Abonnenten exakt die Art und den Zeitpunkt des Einstiegs, den Verlustbegrenzungsstopp und das Gewinnlimit mit.
Ist der Trade platziert brauchen Sie sich um nichts mehr zu kümmern. Sollte weder der Stopp noch das Gewinnlimit erreicht werden und der Trade ist zu schließen, so erfolgt auch dies immer zur selben Signalzeit.



SIGNALE

Das System S E L E K T I V E -FX- ist einfach zu handeln.

Die Signale für Eröffnung und das Schließen der Trades werden immer um die gleiche Zeit, nämlich zwischen

04:50 und 05:15 p.m.New York-,
22:50 und 23:15 Frankfurt-,
21:50 und 22:15 London-,
06:50 und 07:15 a.m. (07:50 und 08:15 Sommerzeit) Tokio-,
08:50 und 09:15 a.m. (09:50 und 10:15 Sommerzeit) Sydney Zeit
Freitags eine Stunde früher

generiert.



Da das System nur selten Signale erzeugt wird etwa 1-3 Stunden vorher ein Tradealarm gesendet.

Jedes Signal beinhaltet bei Eröffnung:

die genaue Angabe der Uhrzeit und Art der Order,
den Verlustbegrenzungsstopp und
das Gewinnmitnahmelimit.

beim Schließen:

die genaue Angabe der Uhrzeit und Art der Order.



POSITIONSGRÖSSEN

Die Collective2 Seite tradet mini lots. Wir empfehlen die folgenden maximalen Handelsgrößen:

$ 10,000 Konto - 2 mini lots
$ 20,000 Konto - 4 mini lots
$ 30,000 Konto - 6 mini lots
$ 40,000 Konto - 8 mini lots
$ 50,000 Konto - 10 mini lots etc.

Falls Sie ganze Lots handeln, dividieren Sie obenstehende Kontraktzahlen durch 10.

Unter normalen Umständen haben wir in seltenen Fällen maximal 4 Trades zur selben Zeit offen.



GELDMANAGEMENT

Wir nutzen ein selbstentwickeltes, systematisches Geldmanagement zur Regelung der zu handelnden Kontraktzahlen aufgrund bereits erzielter Gewinne. Damit ist es möglich die Rendite des Systems nachhaltig zu steigern.

Bei Interesse mailen Sie uns bitte: egs.gmbh@web.de


Wir wünschen Ihnen viel Erfolg !


EGS futures trading management
Klaus Eisenmenger CEO

- This System Description text was submitted by the creator of this strategy. Collective2 verifies only trading signals and hypothetical trading results. We have not verified that this text above is an accurate system description. Remember there is a substantial risk of loss in trading. Past performance is not indicative of future results. Do not trade with money you cannot afford to lose.

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Overview

Trade open/close orders once a day (between 4:50 and 5.15 p.m. N.Y.Time). The signal gives exact information about open and close as well as stops and limits. There is no need to watch the trading. Use Instant Trade Messenger wherever possible for the fastest notification.
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- This text was submitted by the creator of this strategy. Collective2 verifies only trading signals and hypothetical trading results. We have not verified the Overview text above. Remember there is a substantial risk of loss in trading. Past performance is not indicative of future results. Do not trade with money you cannot afford to lose.

Model Account Status

Started$100,000
Buy Power($32,659)
Cash$1
Equity$1
Cumulative $($132,660)
Total System Equity($32,660)
Margined$1
Open P/L$0
System vendor has delayed data by 2 days for non-subs.


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