scramble's profilo del contest                
            
             
    
    
        
            
                                    
                
                
                    
    
        
        
            
            
                
                    
        
            | Posizione attuale | 136 | 
        
        
            | Current month's P&L, USD | 
                        
                        -
                            
                                Real increase of capital in the current month
                             | 
        
        
            | Max. draw-down | 
                        
                        -
                            
                                Max. draw-down value for the selected month. Calculation is done once per day (on settlement)
                             | 
        
        
            | Total prizes won | 
                        
                        1 000$
                            
                                Total prizes won during all monthsof participation in the contest
 | 
        
        
            | Total score gained | 
                        
                        859 points
                            
                                Total score gained during all monthsof participation in the contest
 | 
                        
            
         
     
    
    
            
 
                 
                
                    
    
        
                    
            
                
                
                    On new M15 candle will close the pending order, then read conditions
to set a new one based on EMAs and ADX values. If EMA(21) > EMA (65)
and ADX is positive (+DI > -DI) will set a BuyLimit order near EMA
(65) price. Opposite scenario for SellLimit order. Target will be
MINMAX (160) price. Position size will be a fixed % of equity and
will
use GBP USD as fixed instrument. As protective SL the strategy will
cut the existing position in case of condition reversal, causing 30
to
50 pips average loss.                
             
            
                
    
    
                
                
                    
                        Cumulative Profit/Loss dynamics
                        
                            Selected period:
                            
                                01.08.2017                            
                            - 
                                31.08.2017                            
                        
                        
                        
                        
                            
    
        
            | Classifica (points): |  | 245 (61) | 
        
            | Performance, $ (points): |  | 39,42K$ (0) | 
        
            | Drawdown, % (points): |  | 69.49% (15) | 
        
            | Bonuses: |  | 46 | 
        
            | Average Profit Trade: |  | 5,61K$ | 
        
            | Average Loss Trade: |  | -5899.62$ | 
        
            | Profit factor: |  | 0,00K | 
        
            | Number of trades: |  | 52 | 
        
            | Traded volume: |  | 518,00M$ |