Relax Forex
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Hypothetical Monthly Returns (using typical broker commissions)
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2010 | +7.2% | +9.3% | +41.6% | +2.5% | +5.7% | (8.3%) | +4.2% | +10.0% | +5.5% | (8.8%) | ||
| 2011 | +8.6% | +2.3% | +8.6% | +14.3% | (15.3%) | (25.5%) | (20.8%) | (16.7%) | +20.1% | (5.7%) | (10.2%) | +15.6% |
| 2012 | (7.3%) | +3.8% |

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| Instruments | Forex |
|---|---|
| Strategies | Technical analysis |
| System started | 3/3/2010 (23 months ago) |
| System developer |
Joaquin Megias
(Last login to C2: 2/3/12 14:17) C2 Score: 989 ![]() Vendor has created 19 other systems. Show The name of this system has been changed 1 time. Show |
System creator requested that closed trades data below be delayed by seven days.
Live brokerage trade data is available for this system. Show broker data?
| Hypothetical Trading Results | |||||||||
|---|---|---|---|---|---|---|---|---|---|
| Opened ET | B/S | # | Symbol | Price | Closed | Price | Risk | P/L | |
| 1/5/12 12:34 | SELL | 10 | EUR/USD | 1.27879 | 1/26 16:22 |
1.31027 | Extreme | ($3,158) | |
| 11/9/11 14:40 | SELL | 10 | EUR/USD | 1.35345 | 1/5/12 12:34 | 1.27910 | Low | $7,425 | |
| 10/20/11 14:52 | BUY | 10 | EUR/USD | 1.37747 | 11/9 14:40 |
1.35345 | Very | ($2,412) | |
| 10/3/11 12:48 | SELL | 10 | EUR/USD | 1.32728 | 10/20 14:52 |
1.37747 | Extreme | ($5,029) | |
| 9/5/11 13:59 | SELL | 10 | EUR/USD | 1.40893 | 10/3 12:48 |
1.32748 | Low | $8,135 | |
| 8/16/11 13:00 | BUY | 10 | EUR/USD | 1.44037 | 9/5 13:59 |
1.40893 | Extreme | ($3,154) | |
| 8/2/11 15:57 | SELL | 10 | EUR/USD | 1.42039 | 8/16 13:00 |
1.44037 | Very | ($2,008) | |
| 7/26/11 14:18 | BUY | 10 | EUR/USD | 1.45168 | 8/2 15:56 |
1.42039 | Extreme | ($3,139) | |
| 7/8/11 14:55 | SELL | 10 | EUR/USD | 1.42424 | 7/26 14:18 |
1.45163 | Very | ($2,749) | |
| 6/30/11 13:59 | BUY | 10 | EUR/USD | 1.45198 | 7/8 14:54 |
1.42435 | Very | ($2,773) | |
| 6/16/11 14:12 | SELL | 10 | EUR/USD | 1.41455 | 6/30 13:59 |
1.45192 | Very | ($3,747) | |
| 6/3/11 13:33 | BUY | 10 | EUR/USD | 1.46242 | 6/16 14:12 |
1.41456 | Extreme | ($4,796) | |
| 5/12/11 12:27 | SELL | 10 | EUR/USD | 1.42320 | 6/3 13:33 |
1.46242 | Very | ($3,932) | |
| 4/28/11 13:42 | BUY | 10 | EUR/USD | 1.48003 | 5/12 12:27 |
1.42302 | Extreme | ($5,711) | |
| 4/20/11 14:38 | BUY | 10 | EUR/USD | 1.45142 | 4/28 13:42 |
1.47982 | Low | $2,830 | |
Statistics
Analytics| Chance of 50% account loss | 0.2% |
|---|---|
| Chance of 100% account loss | 0.0% |
| Average Profit to Drawdown (APD) | 0.01 |
| Average P/L per unit traded |
Reviews
2 trades a month, 1 buy then 1 sell. If the timing is NOT good you lose all you want. See the result for may-sept 2011. That mean if you traded the opposite these 4 months you won. Good luck for the good timing
The long term is the key to succes. These months was a drawdown, same as all systems. Time to time. A system without optimization, and no variables is the best for markets, If i work with same system 10 years, is because it works fine. The drawdons is part of game to get profits. If you traded the opposite all months 2010 then you lose....Good luck for the systems trading all days. Its better the calm of a trading system with few operations. The future will talk for this good system. Patience.
System Description
This is a good system and no stress system that make me get real money since many years with only a few operations. Total relax. My own indicator choose buy or sell, with tendency and stay with it, and cut the loses very fast, this is the question most important in trading. The best system is for me the system make few trades.
Important: I close and open in same direction at least one time each month to allow new subscriber enter in trading this system. The profit for old subscribers, is the same.
The stop is ocult, because of this, you avoid any broker see it, or others big investors or institutions, goes to eliminate your position. In this way is imposible. Each day the stop change, then when it is token, we reverse the order, but never is given.
Worst drawdown in my historical records: -2.500 pips, because of this i suggest 1500 to 2000$ per minilot.
Worst trade: - 500 pips.
I never will increase the size to make easy the use of system.
We had the worst drawdown of 50% in this year 2011 since historical records since 2000, same as best investors and best funds. If you search any system with 10% drawdown you are in risk. All best systems have about 50% drawdown. Now is the best oportunity to enter in my system.
If you want see an example of historical performance please you can see at my web:
http://www.tecnofinanzas.com/moneymachineforexenglish.htm
My other system same as this, but with a little change, is Professional Forex.
- 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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