Signal | Is this signal a Martin strategy?

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Signal | Is this signal a Martin strategy?

 

Nickname: @angkaryong

Country:Malaysia

Broker:  #BrightWin Global#

Brief comment:

Let's talk about a signal from Malaysia today @angkaryong #3

According to old rules, first, look at the exact data. 68.98% winning rate and 0.98 profit/loss ratio are quite satisfactory. The average lot size is 0.06, and the average profit point is about 45 points. In most cases, there will be adding deposit behavior. Therefore, it brings out two possibilities as follows.

a, If it is a Martin strategy, it is to pursue compound interest with a high winning rate and to advance as to retreat.

b, If it is not a Martin strategy, the stop profit point may be too small, affecting the subscription quality.

There are 4 major equity drawdown points in the last year. From the equity curve, the largest equity floating loss is $1,868, which is equivalent to the gain of this signal for one year, but luckily it came back.

The average position of 7.0d is not slow, but the average position of profitable orders is 3.4d, while the average position of loss orders is 13.8d. It seems that whether it is life or the market, there are always more days of fear than happy days! All transactions are only done in USD/CAD, which is considered a focus. 3.3 transactions per week, the transaction frequency is very low. However, it does not seem to be a bad thing. Risk is inherently accompanied by high frequency.

Judging from the peak positions, most of the time there is no position exceeding 0.5 lots, but there are still some difficult times. From 26 May to 07 July this year, the total position is 0.59 lots, which must belong to hard days.

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