Forex Portfolio Trader 
This presentation will change your idea of Forex trading and show you a completely new, I’d even say, progressive and more flexible approach to Forex trading. 
Or copy and paste this link in to your browser: 
http://WebinarMeetingRoom.com/6868/nlz1fhdig/webinar-register.php?trackingID1=nw-bb 
Almost every trader has encountered a situation where a trading strategy – whether it is a robot or a manual trading strategy – becomes unprofitable at some point. The strategy might go out of drawdown after a while or might simply stop bringing profit. Traders say there are many explanations of such situation: the market has changed, the market has adapted to a strategy, a broker tries to intervene trading. All these reasons are plausible but sometimes are considered farfetched. Let’s take the last eurusd fall. 
It resulted in many traders and money managers losing their and their clients’ accounts. The fall was unpleasant for grid traders, traders who use lock and add to winning positions, and many scalping strategies. 
On the other hand, some traders, for example, supporters of Elliott wave theory or those who use follow trend strategies increased their deposits by making correct predictions. This example shows only one major market change but includes several less significant changes. We see several areas on the picture within which market conditions can be
considered identical. 
Some strategies will work perfectly in all four highlighted areas and others, let’s say, will succeed in two areas, while several strategies won’t work at all. 
What should you do then? 
Our company (BJF trading Group inc., Canada) has been developing strategies since 2000. During this period we have created more than 5000 strategies and are still testing and improving the most perspective of these products. We are by right the pioneers in development of automated trading strategies for Forex and our experience has allowed us to implement the method described below. 
Imagine that we can switch strategies depending on market conditions. Of course, it is quite difficult to predict what market conditions will be tomorrow, in one hour or even in 5 minutes, but you can control strategies. If a strategy does not meet the predefined conditions, we turn it off but keep controlling its performance. As soon as the strategy is reanimated – we turn it on. 
Now imagine that we have hundreds of constantly monitored strategies and 5-10 of them meet the criteria for the current market conditions. We use 5-10 strategies simultaneously and it is an additional reduction of risks.
We can compare it with a company of 200 money managers working under the leadership of an experienced administrator who increases and decreases an acceptable limit for each manager or forbids a manager to trade at all. 
It is cool, isn’t it? 
We have developed a fully automated program that manages a portfolio of 100 strategies and allows to trade only 5-10 strategies at the given moment. 
Several selection criteria are used to select strategies: a strategy should be profitable (shouldn’t be in drawdown), strategies in a portfolio should have different principles and trading instruments. We also do not use scalping strategies to reduce broker’s influence and eliminate other side effects to portfolio performance. 
Or copy and paste this link in to your browser: 
http://WebinarMeetingRoom.com/6868/nlz1fhdig/webinar-register.php?trackingID1=nw-bb 
Portfolio characteristics 
• Trading symbols: AUDCAD, AUDCHF, AUDJPY, AUDNZD, AUDUSD, CADCHF, CADJPY, CHFJPY, EURAUD, EURCAD, EURCHF, EURGBP, EURJPY, EURNZD, EURUSD, GBPAUD, GBPCAD, GBPCHF, GBPJPY, GBPNZD, GBPUSD, NZDCAD, NZDCHF, NZDJPY, NZDUSD, USDCAD, USDCHF, USDJPY, XAUUSD. 
• Time Frame: H1 
• Expected profit: 25% per month 
strategies 
Account
• Maximal Drawdown: 14% 
• Trading Time: 24 hours per day 
• Orders Type: buy and sell market orders 
• NOT sensitive for broker 
• Recommended deposit: $800 – if broker allows minimal lot size =0.01 and $8,000 – if broker allows minimal lot size =0.1 
• Expert Advisor contains global adjustable equity stop 
Current strategies 
Strategy #1 (Live account results for 14 months) 
• Profit Factor: 4.28 
• Maximal Drawdown: 124.70 (1.40%) 
• Deposit/Withdrawal: 4 500. 
• Closed Trade P/L: 2 800.00 
• Currencies: eurusd, gbpusd… 
Strategy #2 (Live account results for 14 months) 
• Profit Factor: 10.21 
• Maximal Drawdown: 31.98 (0.40%) 
• Deposit/Withdrawal: 3 722.91 
• Closed Trade P/L: 1 218.11 
• Currencies: usdjpy, chfusd, gbpusd, eurusd… 
Strategy #3 (Live account results for 3 months) 
• Profit Factor: 1.39 
• Maximal Drawdown: 813 496 (28.42%)
• Deposit/Withdrawal: 33 980 000 
• Closed Trade P/L: 971000 
• Currencies: audusd, nsdusd, usdcad, usdchf, usdjpy… 
Strategy #4 (Live account results for 4 months) 
• Profit Factor: 1.82 
• Maximal Drawdown: 2 618.42 (5.18%) 
• Deposit/Withdrawal: 45 000.00 
• Closed Trade P/L: 6691 
• Currencies: gbpjpy, chfjpy, usdcad, nzdjpy… 
Strategy #5 (Live account results for 12 months) 
• Profit Factor: 12.44 
• Maximal Drawdown: 5.21 (0.39%) 
• Deposit/Withdrawal: 520 
• Closed Trade P/L: 500 
• Currencies: eurgbp, gbpusd… 
Strategy #6 (Live account results for 6 months) 
• Profit Factor: 1.94 
• Maximal Drawdown: 122.91 (6.14%) 
• Deposit/Withdrawal: 2000 
• Closed Trade P/L: 360 
• Currencies: eurgbp, gbpcad, eurjpy…
Strategy #7 (Live account results for 7 months) 
• Profit Factor: 125.68 
• Maximal Drawdown: 3.36 (0.06%) 
• Deposit/Withdrawal: 4000 
• Closed Trade P/L: 700 
• Currencies: usdcad, eurusd… 
Strategy #8 (Live account results for 10 months) 
• Profit Factor: 2.47 
• Maximal Drawdown: 877.22 (4.01%) 
• Deposit/Withdrawal: 70000 
• Closed Trade P/L: 8700 
• Currencies: euraud, usdjpy… 
Portfolio result
Or copy and paste this link in to your browser: 
http://WebinarMeetingRoom.com/6868/nlz1fhdig/webinar-register.php?trackingID1=nw-bb 
Recommended broker http://FXMARS.com 
Fxmars.com - deep interbank liquidity coming from Citi, JPM, BoA, Deutsche, Commerz, Barclays, UBS, CSFB, BNP, Nomura, Goldman, RBS, SocGen, SEB, HSBC, Morgan Stanley, CIBC, Currenex, Lmax, Integral, FxAll, Hotspot. 
The best broker for scalping, grid, arbitrage strategies. 
Contact us: 
BJF Trading Group inc. 
http://iticsoftware.com 
support@iticsoftware.com

Forex Portfolio Trader

  • 1.
    Forex Portfolio Trader This presentation will change your idea of Forex trading and show you a completely new, I’d even say, progressive and more flexible approach to Forex trading. Or copy and paste this link in to your browser: http://WebinarMeetingRoom.com/6868/nlz1fhdig/webinar-register.php?trackingID1=nw-bb Almost every trader has encountered a situation where a trading strategy – whether it is a robot or a manual trading strategy – becomes unprofitable at some point. The strategy might go out of drawdown after a while or might simply stop bringing profit. Traders say there are many explanations of such situation: the market has changed, the market has adapted to a strategy, a broker tries to intervene trading. All these reasons are plausible but sometimes are considered farfetched. Let’s take the last eurusd fall. It resulted in many traders and money managers losing their and their clients’ accounts. The fall was unpleasant for grid traders, traders who use lock and add to winning positions, and many scalping strategies. On the other hand, some traders, for example, supporters of Elliott wave theory or those who use follow trend strategies increased their deposits by making correct predictions. This example shows only one major market change but includes several less significant changes. We see several areas on the picture within which market conditions can be
  • 2.
    considered identical. Somestrategies will work perfectly in all four highlighted areas and others, let’s say, will succeed in two areas, while several strategies won’t work at all. What should you do then? Our company (BJF trading Group inc., Canada) has been developing strategies since 2000. During this period we have created more than 5000 strategies and are still testing and improving the most perspective of these products. We are by right the pioneers in development of automated trading strategies for Forex and our experience has allowed us to implement the method described below. Imagine that we can switch strategies depending on market conditions. Of course, it is quite difficult to predict what market conditions will be tomorrow, in one hour or even in 5 minutes, but you can control strategies. If a strategy does not meet the predefined conditions, we turn it off but keep controlling its performance. As soon as the strategy is reanimated – we turn it on. Now imagine that we have hundreds of constantly monitored strategies and 5-10 of them meet the criteria for the current market conditions. We use 5-10 strategies simultaneously and it is an additional reduction of risks.
  • 3.
    We can compareit with a company of 200 money managers working under the leadership of an experienced administrator who increases and decreases an acceptable limit for each manager or forbids a manager to trade at all. It is cool, isn’t it? We have developed a fully automated program that manages a portfolio of 100 strategies and allows to trade only 5-10 strategies at the given moment. Several selection criteria are used to select strategies: a strategy should be profitable (shouldn’t be in drawdown), strategies in a portfolio should have different principles and trading instruments. We also do not use scalping strategies to reduce broker’s influence and eliminate other side effects to portfolio performance. Or copy and paste this link in to your browser: http://WebinarMeetingRoom.com/6868/nlz1fhdig/webinar-register.php?trackingID1=nw-bb Portfolio characteristics • Trading symbols: AUDCAD, AUDCHF, AUDJPY, AUDNZD, AUDUSD, CADCHF, CADJPY, CHFJPY, EURAUD, EURCAD, EURCHF, EURGBP, EURJPY, EURNZD, EURUSD, GBPAUD, GBPCAD, GBPCHF, GBPJPY, GBPNZD, GBPUSD, NZDCAD, NZDCHF, NZDJPY, NZDUSD, USDCAD, USDCHF, USDJPY, XAUUSD. • Time Frame: H1 • Expected profit: 25% per month strategies Account
  • 4.
    • Maximal Drawdown:14% • Trading Time: 24 hours per day • Orders Type: buy and sell market orders • NOT sensitive for broker • Recommended deposit: $800 – if broker allows minimal lot size =0.01 and $8,000 – if broker allows minimal lot size =0.1 • Expert Advisor contains global adjustable equity stop Current strategies Strategy #1 (Live account results for 14 months) • Profit Factor: 4.28 • Maximal Drawdown: 124.70 (1.40%) • Deposit/Withdrawal: 4 500. • Closed Trade P/L: 2 800.00 • Currencies: eurusd, gbpusd… Strategy #2 (Live account results for 14 months) • Profit Factor: 10.21 • Maximal Drawdown: 31.98 (0.40%) • Deposit/Withdrawal: 3 722.91 • Closed Trade P/L: 1 218.11 • Currencies: usdjpy, chfusd, gbpusd, eurusd… Strategy #3 (Live account results for 3 months) • Profit Factor: 1.39 • Maximal Drawdown: 813 496 (28.42%)
  • 5.
    • Deposit/Withdrawal: 33980 000 • Closed Trade P/L: 971000 • Currencies: audusd, nsdusd, usdcad, usdchf, usdjpy… Strategy #4 (Live account results for 4 months) • Profit Factor: 1.82 • Maximal Drawdown: 2 618.42 (5.18%) • Deposit/Withdrawal: 45 000.00 • Closed Trade P/L: 6691 • Currencies: gbpjpy, chfjpy, usdcad, nzdjpy… Strategy #5 (Live account results for 12 months) • Profit Factor: 12.44 • Maximal Drawdown: 5.21 (0.39%) • Deposit/Withdrawal: 520 • Closed Trade P/L: 500 • Currencies: eurgbp, gbpusd… Strategy #6 (Live account results for 6 months) • Profit Factor: 1.94 • Maximal Drawdown: 122.91 (6.14%) • Deposit/Withdrawal: 2000 • Closed Trade P/L: 360 • Currencies: eurgbp, gbpcad, eurjpy…
  • 6.
    Strategy #7 (Liveaccount results for 7 months) • Profit Factor: 125.68 • Maximal Drawdown: 3.36 (0.06%) • Deposit/Withdrawal: 4000 • Closed Trade P/L: 700 • Currencies: usdcad, eurusd… Strategy #8 (Live account results for 10 months) • Profit Factor: 2.47 • Maximal Drawdown: 877.22 (4.01%) • Deposit/Withdrawal: 70000 • Closed Trade P/L: 8700 • Currencies: euraud, usdjpy… Portfolio result
  • 7.
    Or copy andpaste this link in to your browser: http://WebinarMeetingRoom.com/6868/nlz1fhdig/webinar-register.php?trackingID1=nw-bb Recommended broker http://FXMARS.com Fxmars.com - deep interbank liquidity coming from Citi, JPM, BoA, Deutsche, Commerz, Barclays, UBS, CSFB, BNP, Nomura, Goldman, RBS, SocGen, SEB, HSBC, Morgan Stanley, CIBC, Currenex, Lmax, Integral, FxAll, Hotspot. The best broker for scalping, grid, arbitrage strategies. Contact us: BJF Trading Group inc. http://iticsoftware.com support@iticsoftware.com