상태 업데이트!
This portfolio of strategies are tested and proven from StrategyQuant and it has at least been forward tested with 3 months of data and has shown consistency in profit! The objective of the portfolio is to have a collection of profitable and consistent EA running concurrently and over time the rate of return can be compounded.
The portfolio of Strategy consists of 3 EA:
1. Strategy 1: Instrument = USDJPY , CAGR = 7.6 % over 6 months
2. Strategy 2: Instrument = GBPJPY , CAGR = 6.08 % over 6 months
3. Strategy 3: Instrument = EURUSD , CAGR = 5.73 % over 6 months
If you do have any questions do reach out to me!
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