On my live account now,
- I am running 4 pairs. EUR/AUD, EUR/USD, EUR/JPY, USD/JPY.
- Weekly goal (%) = 100
- Equity Protector (%) = 100
- Starting Lot Size = 0.21
- Range Between Levels = 6
- Range Multiplier = 1.15
- Position Size Multiplier = 1.25
- Stop Trading for News = Yes (30 mins before and after)
- Trading Monday to Friday
During Brexit late last month, drawdown went to 59% cos I had large open positions for EUR/AUD. I adjusted my multipliers and Since then, drawdown is averaging 5% while profit has kept at the same rate. My profit factor is currently 17.83. See the attached