System: Long Portfolio
Description: This has some short positions but all new positions since 3/15/2015 are long only pairs held in this portfolio
Type of Trading: Real
Started: Nov 27, 2014
Tracking: 3 users
Currency Pairs: AUDCAD, AUDCHF, AUDHKD, AUDJPY, AUDNZD, AUDSGD, AUDUSD, CADCHF, CADHKD, CADJPY, CADSGD, CHFHKD, CHFJPY, EURAUD, EURCAD, EURCHF, EURCZK, EURDKK, EURGBP, EURHUF, EURJPY, EURNOK, EURNZD, EURPLN, EURSEK, EURUSD, EURZAR, GBPAUD, GBPCAD, GBPCHF, GBPJPY, GBPNZD, GBPPLN, GBPSGD, GBPZAR, NZDCAD, NZDCHF, NZDHKD, NZDJPY, NZDSGD, NZDUSD, SGDCHF, SGDHKD, SGDJPY, TRYJPY, USDCAD, USDCHF, USDCNH, USDCNY, USDHUF, USDJPY, USDNOK, USDPLN, USDSEK, USDTHB, USDTRY, USDTWD, USDZAR, ZARJPY
Essentials: The Long Portfolio system has made 142 trades with an average winning trade of 766.14 pips / , the average losing trade around -332.74 pips / and an average trade length of 17d.
The best trade it ever had was (Aug 24) 8030.7 in pips and the worst trade was (Aug 04) -3458.5 in pips.
It has won (72/121) 59% of its attempted buys and (10/21) 47% of its attempted sells.
Pros & Cons
- Its average win is larger than 10 pips which is usually a good thing.
- Uses a potentially huge and dangerous stop loss.
- Prone to large drawdowns.