Pathfinder Trading System
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- This topic has 1,834 replies, 139 voices, and was last updated 1 year ago by CFD AutoTrading.
Tagged: Pathfinder
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03/03/2017 at 9:35 PM #2710403/03/2017 at 10:02 PM #27105
Hi everyone, since Reiner has leave this thread, I’d like to keep it only on discussions about his own version and its live trades.
I encourage everyone willing to create forks of Pathfinder’s code to create new posts to keep everything clear and separated. Thanks for comprehension 🙂
@ziliq / Do you want me to create a new thread from your previous interesting new version? Or you can also create it yourself 😉
03/03/2017 at 11:22 PM #27108Amen to that Nicolas:) Let’s continue this thread in the way Reiner started it.
@Reiner Good to hear that it was nothing here that disturbed you. Take care and my feeling is that we will see you back here in the Pathfinder-family again. We miss you and you will miss us;)Regards
Martin
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03/04/2017 at 10:11 AM #2712203/04/2017 at 10:17 AM #2712303/04/2017 at 10:32 AM #27124Im not sure about this position. Dow is breaking ath again and again… Never seen the market behave like this before. May close this position manually. Let’s see what happens on monday. Have a nice weekend all!
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03/04/2017 at 6:55 PM #2716203/04/2017 at 9:52 PM #2717203/06/2017 at 9:08 AM #2728203/06/2017 at 9:09 AM #2728303/06/2017 at 9:19 AM #2728403/06/2017 at 11:01 AM #27306@everyone
Since questions about Ziliq’s fork are emerging, I moved his proposition to a whole new thread here: https://www.prorealcode.com/topic/pathfinder-_-ziliq-research/03/06/2017 at 5:37 PM #2735503/06/2017 at 6:05 PM #27365Anybody else had Nikkei 225 3 Long Exit Close @ 16:00 and 1 Short Entry @16:00 (GMT).
I was waiting for the 61.8% Fib retrace to finish and looking forward to an Up / back in the money and then bang 2 Trades done @ 16:00, Loss figure attached.
GraHal
03/06/2017 at 6:58 PM #27472Hi GraHal,
Yes i have the same bad news at 5pm (CET) : Nikkei 225 3 Long Exit Close @ 19338.5 with loss -704.12€
and 1 Short Entry at 5pm (CET).
This is the second time I have a short position immediately after a close. last time it was on DOW friday 03/03/2017 at 9pm (CET).
Is not it abnormal behavior of the strategy to short immediatly after a close ?
In addition, performances of shorts positions are less good than long positions. Perhaps they should be prevented in the code of the strategy ? To limit the exposure (and the risk) which climbs by taking all the signals…
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