I am wondering if someone could enter the following information in a Monte
Carlo simulator for me. I have found many on the internet, but they all ask for a purchase after I download it. If you can please make 30 passes and adjust any parameters you think necessary to increase odds.
129 wins 75 losses, 63% win probability.
Average win +1.10%
Average loss -0.76%
Win ratio 1.45
Risk per trade 2%
Account size $30,000
One variable I am trying to quantify is that I am focusing on the 14 major pairs, so sometimes 1 pairs meets my parameters and other times 14 will meet my parameters. So I am trading a max leverage of 30k each position, my positioning is any where from 30k to 420k. That's the one variable, when I have 14 positions on, is that 1 diversified position or 14 individual trades.
If I group my trading into any time I have trades on whether it is 1 or 14 and consider those individual trades that just happen to be diversified, I have the following number.
18 wins 23 losses, 78% win probability.
average win +0.57%
average loss -0.37%
win ratio 1.54
risk per trade 2% to 28% depending on whether I am holding 1 or 14 pairs.
Any information or suggestions will be much appreciated.
Thank you.
Carlo simulator for me. I have found many on the internet, but they all ask for a purchase after I download it. If you can please make 30 passes and adjust any parameters you think necessary to increase odds.
129 wins 75 losses, 63% win probability.
Average win +1.10%
Average loss -0.76%
Win ratio 1.45
Risk per trade 2%
Account size $30,000
One variable I am trying to quantify is that I am focusing on the 14 major pairs, so sometimes 1 pairs meets my parameters and other times 14 will meet my parameters. So I am trading a max leverage of 30k each position, my positioning is any where from 30k to 420k. That's the one variable, when I have 14 positions on, is that 1 diversified position or 14 individual trades.
If I group my trading into any time I have trades on whether it is 1 or 14 and consider those individual trades that just happen to be diversified, I have the following number.
18 wins 23 losses, 78% win probability.
average win +0.57%
average loss -0.37%
win ratio 1.54
risk per trade 2% to 28% depending on whether I am holding 1 or 14 pairs.
Any information or suggestions will be much appreciated.
Thank you.