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ZEUS NAS (NASDAQ)

159,00289,00

Vectorial strategy for NASDAQ

The vectorial strategy is specialised in trend changes.  Our special parameters and filters enhance the original strategy opening entries only in the most favourable conditions. It allows more wide trailing stops that lead to more profitable positions (even if the win/loss ratio is not so high, over time the profit per operation is a key factor).

The first version was created in October 2021.  The latest version was released on November 2022.  We use this system (all our systems) in real accounts since created. And for now, our updates enhanced the previous results.

Own fork of the original DAX vectorial M5 strategy, developed starting 2020, launched in May.  Adaptation for NASDAQ.

The most stable over time and less overfitted version that you can find for NASDAQ.

Updated version on November ’22 end after big DrawDown of the previous V3 version. Found that changing the TF of longs and shorts and avoiding reversal operations, results should be so much stable in the current choppy market (no more changes, no optimizations that can cause overfit!)

 

18 months license - Trading System for ProRealTime platform - Compatible with CFD accounts - Not a CFD Account?

Description

Own fork of the original DAX vectorial M5 strategy, developed starting 2020, launched in May.  Adaptation for NASDAQ.

The most stable over time and less overfitted version that you can find for NASDAQ.

Updated version on November ’22 end after big DrawDown of the previous V3 version. Found that changing the TF of longs and shorts and avoiding reversal operations, results should be so much stable in the current choppy market (no more changes, no optimizations that can cause overfit!)

 

Vectorial strategy (trend changes), focused on long positions.

 

—————– DATASHEET ———————————

Strategy type:   Vectorial (specialized in trend changes)

Input signals: Calculates the angle between moving averages to locate trend changes. Filters are applied to improve the inputs, as well as other mechanisms.

Stop Loss: Always. Maximum of 2%. It can be different for long and short.

Profit handling: Trailing Stop by blocks based on ATR and exit with profits in case of a strong trend change. Maximum target profit configured.

General comments: Strategy specialised in trend changes. You have a good ratio of winning positions, but your goal is the highest possible win/loss ratio. In the latest version, we focus on long positions. Short positions are not their strong suit according to the backtests, but we have tried to prepare them for the scenarios to come.

Don’t be fooled: Results are shown for 1 contract at € 1 per point. Only 1 position at a time. Without martingales or partial closures (MM available, but not shown in results).  Different configurations are available, and visible and non-obfuscated code. Visible headers in ProRealTime screenshots are shown here, distinguishing between backtest, real and demo in each case (avoid screens without headers and quick photoshops ????).  Available versioning and results full information in our website and groups, with full tracking.

Extras: Delivered to be used out-of-the-box, but configurable for experienced users. Money Management and Drawdown control modules are available.

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9 or 18 months license - Trading System for ProRealTime platform - Compatible with CFD accounts

Additional information

License period

9 months, 18 months

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