The link to the calculations from my first posting can not be downloaded anymore due to restrictions from rapidshare. This is why I uploaded the file here:
http://docs.google.com/fileview?id=...jYtZWViZi00ZDMyLWFhYjQtNzBmNjc3NDhhNDFk&hl=en
Please, before doing more calculations with only 1 or 2 price movements, take a look at this file.
Column A is a random number, 0 or 1.
Column B is eur/usd, it doubles when the random number is 1 and it halves when the random number is 0.
Column C is usd/eur, it is is always 1/(eur/usd). This column is not really necessary, but I hope it makes things more clear.
Column D is the amount of dollars which the first portfolio holds on every step. It is always 1/2 of the whole portfolio.
Column E is the amount of euros which the first portfolio holds on every step. It is always 1/2 of the whole portfolio multiplied by usd/eur.
Column F is the balance of Portfolio 1, which maximizes dollar returns. It measures how the strategy performs in dollars. It shows how much dollars Portfolio 1 has after each movement. This is what many people should look at before posting here calculations of 1 or 2 movements.
Column G, H and I are identical to D, E and F. They are also not really necessary, but I hope they make things more clear. They show how the system would perform if we measure the balance in euros.