Since I re-optimise system's parameters every week now, every weekend there is a change of settings. Normally, the change is quite small and...
Closed short S&P500 with loss -4.3k Account Value 230k
Closed short DJIA with loss -5k Account Value 238k
Back test results are better, but I still have a lot of questions and working hard to find the answers. As to proving whether it's sim or real -...
Opened short S&P500 @ 1323.03 Account Value 283k
Opened short FTSE100 @ 5501.3 Account Value 280k
Opened short NASDAQ @ 2571.15 Opened short DJIA @ 12595 Account Value 269k
Closed short NASDAQ with loss -4.3 Account Value 248k
Closed short S&P500 with loss -4.6k Closed short DJIA with loss -4.2 Account Value 251k
Sold S&P500 @ 1348.90 Sold Platinum @ 1414.75 Account Value 266k
Gold in post above was closed with loss of -756 Opened Short NASDAQ @ 2576 Opened Short Oil @ 87.10 Opened Short DJIA @ 12712 Account...
Opened short GbpJpy @ 123.40 Will close short Gold as soon as market opens. Probable loss -678. Account Value 263k
Closed short GbpJpy with profit +828 Account Value 271k
Opened short GbpJpy @ 124.03 Account Value 251k
Closed short AudUsd with profit about 1k Account Value 250k
Recent opening and closing positions in the same markets come from my tests of walk forward optimization. I used to trade with parameters giving...
Closed short Gold with profit +4140 Closed short Oil with profit +2366 Account Value 242k
Closed short GbpJpy with loss -3280 Account Value 246k
Not clients' money. Why would I be proud? In the mean time: Closed short FTSE100 with loss -2500 Account Value 226k
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