FxMath Momentum Trader
Pairs: EURUSD, GBPUSD, EURJPY, USDCAD, USDCHF, USDJPY
TimeFrame: H1
Trading Strategy: Trend/Swing
Return/DD Ratio: 55.94
Small Drawn Down: 5.22 %
Profit Factor: 2.25
Deviation” $90.37
Wins/Losses Ratio: 1.7
EA features:
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EA Auto Installer
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Matatrader 4 Platform
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User Manual
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Friendly EA Setting
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Money Management Function
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Works with all build +600
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Life time update
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Zero StopLoss/TakeProfit
What is Momentum Indicator?
The Momentum indicator compares where the current price is in relation to where the price was in the past. How far in the past the comparison is made is up to the technical analysis trader. The calculation of Momentum is quite simple (n is the number of periods the technical trader selects):
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The current price minus the price n-periods ago
Hence, if the current price is higher than the price in the past, then the Momentum indicator is positive. In contrast, when the current price is lower than the price in the past, then the Momentum indicator is negative.
How is trades FxMath Momemtum Trdaer?
This strategy is using Momentum Indicator for Enter/Exit . Strategy compares different momentum values to find major trends in market. Exit is based on RSI indicator and finds the end of trend by comparing two RSI values.
Advantage using several strategies in one account:
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Control drawn down and reduce that
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Making continuous profit
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Safe trading due using different pairs
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Safe trading due using different strategies
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Control account free margin
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Smaller standard division of profit
Price: 199 USD
EA Analyzer Portfolio Report
Portfolio
Total Profit $ 40315.88
Profit in pips 43310.4 pips
Yearly Avg profit $ 14229.13
# of trades 2012
Sharpe ratio 0.2
Profit factor 2.25
Return / DD ratio 55.94
Winning % 63.02 %
Drawdown $ 720.74
% Drawdown 5.22 %
Daily Avg profit $ 38.29
Monthly Avg profit $ 1185.76
Average trade $ 52.19
Strategies in portfolio
# | Name | Symbol | Timeframe | Net Profit ($) | Net Profit (pips) | # of Trades | Sharpe Ratio | Profit Factor |
S1 | FxMath_Mom_Trader_EURJPY | EURJPY | H1 | $ 9680.96 | 11651.08 pips | 203 | 0.27 | 3.43 |
S2 | FxMath_Mom_Trader_EURUSD | EURUSD | H1 | $ 5869.92 | 6049.39 pips | 551 | 0.15 | 1.64 |
S3 | FxMath_Mom_Trader_GBPUSD | GBPUSD | H1 | $ 6551.79 | 6939.01 pips | 317 | 0.23 | 1.95 |
S4 | FxMath_Mom_Trader_USDCAD | USDCAD | H1 | $ 4521.58 | 5150.01 pips | 269 | 0.28 | 2.54 |
S5 | FxMath_Mom_Trader_USDCHF | USDCHF | H1 | $ 6571.67 | 6323.8 pips | 484 | 0.15 | 2.08 |
S6 | FxMath_Mom_Trader_USDJPY | USDJPY | H1 | $ 7119.95 | 7197.1 pips | 188 | 0.25 | 3.15 |
# | Name | Return / DD Ratio | Winning % | Drawdown | % Drawdown | Yearly avg. profit | Monthly avg. profit | Daily avg. profit |
S2 | FxMath_Mom_Trader_EURUSD | 12.07 | 61.34 % | $ 486.46 | 16.33 % | $ 2071.74 | $ 172.64 | $ 5.57 |
S4 | FxMath_Mom_Trader_USDCAD | 18.94 | 62.45 % | $ 238.77 | 11.09 % | $ 1595.85 | $ 132.99 | $ 4.3 |
S6 | FxMath_Mom_Trader_USDJPY | 19.52 | 69.68 % | $ 364.78 | 14.25 % | $ 2512.92 | $ 209.41 | $ 6.77 |
Monthly Performance ($)
Year | Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | YTD |
2014 | 884.13 | 464.82 | 1565.75 | 349.64 | 163.86 | 311.97 | 225.67 | 525.52 | 1961.07 | 3010.76 | 261.21 | 0 | 9724.4 |
2013 | 1715.87 | 1755.43 | 2619.97 | 425.49 | 1189.63 | 1774.63 | 1614.47 | 1249.63 | 536.91 | 1709.76 | 1042.51 | 934.2 | 16568.5 |
2012 | 858.82 | 1597 | 873.38 | 1077.16 | 2738.24 | 1124.16 | 1775.01 | 976.55 | 634.36 | 706.76 | 972.84 | 688.69 | 14022.97 |
Stats
Strategy
Wins/Losses Ratio | 1.7 | Payout Ratio (Avg Win/Loss) | 1.32 | Average # of Bars in Trade | 0 |
AHPR | 0.1 | Z-Score | 1.5 | Z-Probability | 6.73 % |
Expectancy | 20.04 | Deviation | $ 90.37 | Exposure | 0 % |
Stagnation in Days | 32 | Stagnation in % | 3.04 % |
Trades
# of Wins | 1268 | # of Losses | 744 | ||||
Gross Profit | $ 72660.8 | Gross Loss | $ -32344.89 | Average Win | $ 57.3 | Average Loss | $ -43.47 |
Largest Win | $ 967.99 | Largest Loss | $ -364.78 | Max Consec Wins | 12 | Max Consec Losses | 7 |
Avg Consec Wins | 2.61 | Avg Consec Loss | 1.53 | Avg # of Bars in Wins | 0 | Avg # of Bars in Losses | 0 |
Charts
Click on the chart to see bigger image
P/L by hour | P/L by weekday | P/L by month |
Long vs Short trades | Long vs Short P/L | Trades by month |
P/L by trade duration | Wins/Losses by hour | Wins/Losses Profit by weekday |
30 DAY MONEY BACK GUARANTEE
In the event we are unable to accord you product support or we are unable to fix a bug in the software within a reasonable time, you are entitled to our 30-day, no-hassle money-back guarantee. Your account will be credited promptly.
You are also entitled to a 12 Months Performance guarantee. What does this mean? If metaquotes were to do some changes like they did with build 600. You are entitled to a free update within one year from your date of purchase.
Price: 199 USD