MB Trading : 2 Trades: -59.2 pips
GO Markets : 2 Trades: 3.5 pips
InterbankFx : 2 Trades: 0.5 pips
InterbankFx AU : 2 Trades: 3.2 pips
FxPro : 2 Trades: -53.0 pips
Alpari UK (Mini-1) : 2 Trades: -62.4 pips
Alpari UK (Classic): 2 Trades: -61.8 pips
FXDD : 2 Trades: 3.0 pips
AxiTrader : 2 Trades: -65.9 pips
FxSol : 2 Trades: -3.0 pips
TRADE DETAILS: Open Close Profit
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MB Trading S1 Buy: 16:44:52 1.28875 -> 21:31:02 1.28259 -61.6 pips
S2 Buy: 17:51:16 1.28630 -> 23:07:57 1.28654 2.4 pips
GO Markets S1 Buy: 23:51:57 1.28860 -> 11:35:07 1.28881 2.1 pips
S2 Buy: 0:05:49 1.28685 -> 6:09:29 1.28699 1.4 pips
InterbankFx S1 Buy: 20:51:57 1.28867 -> 8:35:06 1.28877 1.0 pips
S2 Buy: 21:05:47 1.28693 -> 3:07:49 1.28688 -0.5 pips
InterbankFx AU S1 Buy: 20:51:56 1.28867 -> 8:35:06 1.28877 1.0 pips
S2 Buy: 21:05:47 1.28707 -> 3:09:34 1.28729 2.2 pips
FxPro S1 Buy: 23:51:58 1.28849 -> 4:40:52 1.28333 -51.6 pips
S2 Buy: 0:05:48 1.28687 -> 6:07:50 1.28673 -1.4 pips
Alpari UK (Mini-1) S1 Buy: 23:44:54 1.28873 -> 4:30:56 1.28255 -61.8 pips
S2 Buy: 0:05:47 1.28698 -> 6:07:49 1.28692 -0.6 pips
Alpari UK (Classic) S1 Buy: 23:44:54 1.28873 -> 4:30:56 1.28255 -61.8 pips
S2 Buy: 0:05:47 1.28698 -> 6:07:49 1.28698 0.0 pips
FXDD S1 Buy: 23:52:15 1.28844 -> 11:35:04 1.28846 0.2 pips
S2 Buy: 0:51:23 1.28602 -> 6:07:47 1.28630 2.8 pips
AxiTrader S1 Buy: 23:44:52 1.28868 -> 4:30:56 1.28253 -61.5 pips
S2 Buy: 0:05:47 1.28701 -> 6:07:51 1.28657 -4.4 pips
FxSol S1 Buy: 16:54:53 1.28830 -> 4:35:29 1.28840 1.0 pips
S2 Buy: 17:06:05 1.28680 -> 23:08:05 1.28640 -4.0 pips
hotforex -62.3pips
Alpari classic: -62 pips.
What a shit ea.
I still have one trade still open on Go Markets (-22 pips). Am I the only one?
Alpari Classic -62 pips!
Hi Monty, I have also one trade still open on Activtrades 😉
Pretty frustrating month so far. I still have a few open trades left. I’ll update my results as they close.
The EUR/USD tanked just after the US market closed for some reason.
Hi Monty. I still have that trade as well. Currently about -15 pips. It’ll probably close at the 12 hour mark if it doesn’t reach break-even.
Now that trade is closed :-)….so my results on ActivTrades are:
Buy: 22:52 1.2885 -> 10:35 1.2886 1.0 pips
Buy: 23:05 1.2871 -> 05:09 1.2872 1.0 pips
Somehow a few of my accounts actually made a profit.
AlpariUK(Classic):
buy 23:44 1.28868 -> 04:30 1.28256 -61.2 pips
buy 00:05 1.28692 -> 06:07 1.28694 2 pips
Im done with MD, 2011 was merely a breakeven year 2012 a completely loossing too.
With the first part of the year results to come back in profits will takes 1 year and even more
Bye bye md
Richard, S&P downgraded Spain to near junk status around 4:30pm EDT 10/10. The same thing happened to MD when the US was downgraded.
The robot is looking for the price to reach what it believes is the channel boundary and a bounce is expected.
What keeps messing MD up in these situations is not accounting for the velocity of the price movement. Yesterday’s price dropped nearly 20pips in under 5 mins after the news hit the wires. MD doesn’t trade news events period and even if the price reached the signal, the velocity should have invalidated the buy signal.
I’ve seen this many times before with MD, I’m surprised this hasn’t been coded yet.
I’m not stopping them but Albatore has a point, it will take a very stellar 2013 to recoup late 2011 and 2012’s losses.
Somehow came out of that with 4.7 pips profit. really dodged a bullet there.
Go Markets
buy 23:51 1.28860 -> 11:35 1.28881 2.1 pips
buy 00:05 1.28706 -> 06:09 1.28732 2.6 pips
Ikon S1 buy -61 pips
Looks like MD more and more loosing its edge in profits, but maintaining its edge in loses. So gradually losses stay and profits decrease, not covering losses any more. This should happen some time and now it is more and more obvious. Need to quit (I personaly do now).
Besides it seems that MD people feel it – otherwise they will not start so heavily advertizing and switching to PipJet.
S1 Buy 20:51:55 1.28850 08:35:05 1.28881 3.1
S2 Buy 21:51:23 1.28607 03:07:46 1.28669 6.2
Definitely a tough period for the strategy right now.
Even in the good times, we’ve had stop losses like this every month or so, and sometimes twice in a month, but the difference now is that we’re not getting much profit in between these losing trades to provide a buffer.
Exactly – there is no problems with such SLs (they are ok for MD) there is problems with profits – and thess problems exist for about a year already, w/o any prospects of regaining trade advantage.
I’ve turned down my risk of all MD robots and set Recovery mode to ‘No’.
This is a tough year.
Above all else…protect your account!