D Alembert System
Hi traders...Does anyone use the D Alembert System for money management....( Increase lot size when loosing ...decrease when you are winning...less risky than martingale)any thoughts if it could be implemented in the CP EA
Hi traders...Does anyone use the D Alembert System for money management....( Increase lot size when loosing ...decrease when you are winning...less risky than martingale)any thoughts if it could be implemented in the CP EA
Hi Sir ...profit ratio of 3:1 is just an example....user can adjust to what suits them.....and profit ratio is determined by the level of TP in comparison to SL
11th example (0.11 lot size is correct) remember we adding 1 unit( in this case 1 unit = 0.1 ) a unit is equal to the starting lotsize
The MM can be applied to a series of orders with a set SL and TP....for example if we enter a BUY we can set our SL three grid levels below( Martingale) and our TP ...5 Grid Levels Above( Antimartingale)
Our SL will always be three Grid Levels below price through TRAILSTOP....And TP 5 grid levels Above.....
I see where your concern is ...how we calculate the next lotsize
Lotizes are calculated in batches
For example if we open 3 buy grid levels...they all follow the same lotsize until it hits SL( we will have three grid levels of 0.1) ...then next lotsize of the batch is calculated (thus another 3 grid levels of 0.2)
1. profit ratio is set by user or calculated by EA (ratio = TP / SL)?
2. Why 0.11 is correct if we start from 0.1 and add 0.1 after every loss?
0.1-0.2-0.3-0.4-0.5-0.6-0.7-0.8-0.9-1.0-0.11?
3. What with my example?
11th trade 1.1 lots closed with +$3, overall loss is $52. What is the next lot? Still 3 steps back (0.8)?
1. profit ratio is set by user or calculated by EA (ratio = TP / SL)?
2. Why 0.11 is correct if we start from 0.1 and add 0.1 after every loss?
0.1-0.2-0.3-0.4-0.5-0.6-0.7-0.8-0.9-1.0-0.11?
3. What with my example?
11th trade 1.1 lots closed with +$3, overall loss is $52. What is the next lot? Still 3 steps back (0.8)?
Good morning
1.The ratio is calculated by the EA...User only has to set TP and SL values
2.Sorry ....Yes You are right 11th trade is 1.1 lotsize..... Apologies my bad
3.You mean closed by Trail Stop....if trades closes by Trail Stop we neither move forward or backward we bet the same lotsizes in the next batch
So With 1.1 lotsize if trades closes by Trail Stop...we bet 1.1 lotsizes again in our next batch of order series....but if it closes by TP then we win $33 and move 3 steps back....if it hits SL we move again a step forward
Logic
If trade is result is a loss( Either hits SL or closed by TrailStop)
(Increment lot size by x step/s)
If trade result win( TP HAS BEEN HIT) and Global Take Target Profit HASN'T been reached
(Decrement lotsize by x step/s )
If trade result win( CLOSED BY TRAILSTOP) and Global Take Target Profit HASN'T been reached
( Use same lotsizes( previous batch lotsize) )
If trade result win ( Either TP has been hit or closed by TrailStop)and Global Take Target Profit HAS been reached
(Close All Orders And Reset)
Good morning
1.The ratio is calculated by the EA...User only has to set TP and SL values
2.Sorry ....Yes You are right 11th trade is 1.1 lotsize..... Apologies my bad
3.You mean closed by Trail Stop....if trades closes by Trail Stop we neither move forward or backward we bet the same lotsizes in the next batch
So With 1.1 lotsize if trades closes by Trail Stop...we bet 1.1 lotsizes again in our next batch of order series....but if it closes by TP then we win $33 and move 3 steps back....if it hits SL we move again a step forward
Logic
If trade is result is a loss( Either hits SL or closed by TrailStop)
(Increment lot size by x step/s)
If trade result win( TP HAS BEEN HIT) and Global Take Target Profit HASN'T been reached
(Decrement lotsize by x step/s )
If trade result win( CLOSED BY TRAILSTOP) and Global Take Target Profit HASN'T been reached
( Use same lotsizes( previous batch lotsize) )
If trade result win ( Either TP has been hit or closed by TrailStop)and Global Take Target Profit HAS been reached
(Close All Orders And Reset)
Okay, now it all makes a lot more sense.
1. After any loss increase lot by 1 unit (start lot size).
2. If new profit is reached on overall account, start with start lot size.
3. If order/series closed with profit less than TP, keep the same lot.
4. If order/series closed by TP (but overall account not reached new high), decrease next lot size by (TP size / SL size) units.
But I still have questions.
1. It will be very problematic to calculate (TP size / SL size) for all possible configurations (martin, anti-martin, different number of orders, etc). So I think ratio will be set by parameter.
2. Why not to decrease lot if we closed series with profit less than TP, but still a big one?
For example, if 11th order closed with profit $32 (it is lee than TP=33), why not to decrease lot by 2 units?
Okay, now it all makes a lot more sense.
1. After any loss increase lot by 1 unit (start lot size).
2. If new profit is reached on overall account, start with start lot size.
3. If order/series closed with profit less than TP, keep the same lot.
4. If order/series closed by TP (but overall account not reached new high), decrease next lot size by (TP size / SL size) units.
But I still have questions.
1. It will be very problematic to calculate (TP size / SL size) for all possible configurations (martin, anti-martin, different number of orders, etc). So I think ratio will be set by parameter.
2. Why not to decrease lot if we closed series with profit less than TP, but still a big one?
For example, if 11th order closed with profit $32 (it is lee than TP=33), why not to decrease lot by 2 units?
Good evening.
Yes thats very correct Sir....very happy to hear that
1.Yes ratio can be set by parameter....
2.I did think of it and its a very good idea ...but how do we determine if profit is a big one.... because sometimes it might close with rather a small profit maybe $3 instead of 33 like you had suggested...so how can we work around that
Good evening.
Yes thats very correct Sir....very happy to hear that
1.Yes ratio can be set by parameter....
2.I did think of it and its a very good idea ...but how do we determine if profit is a big one.... because sometimes it might close with rather a small profit maybe $3 instead of 33 like you had suggested...so how can we work around that
Maybe we should set expected loss size in parameters as well?
Thus, we will have all data to calculate the next lot.
For example, with expected loss = 10 and ratio 3:1:
Sounds good for you?
Maybe we should set expected loss size in parameters as well?
Thus, we will have all data to calculate the next lot.
For example, with expected loss = 10 and ratio 3:1:
Sounds good for you?
Morning
Sounds brilliant!!!.....in that way we make sure our lotsizes decreases even if we dont reach the expected TP....the smaller the lotsizes...the lower the drawdown...lesser chances of burning the account...
Morning
Sounds brilliant!!!.....in that way we make sure our lotsizes decreases even if we dont reach the expected TP....the smaller the lotsizes...the lower the drawdown...lesser chances of burning the account...
Ok, let's vote for it.
Parameters:
Calculation of the first lot of new series:
Ok, let's vote for it.
Parameters:
Calculation of the first lot of new series:
Okay👍.....thank you Sir
Cheers
Hi Sir ...profit ratio of 3:1 is just an example....user can adjust to what suits them.....and profit ratio is determined by the level of TP in comparison to SL
11th example (0.11 lot size is correct) remember we adding 1 unit( in this case 1 unit = 0.1 ) a unit is equal to the starting lotsize
The MM can be applied to a series of orders with a set SL and TP....for example if we enter a BUY we can set our SL three grid levels below( Martingale) and our TP ...5 Grid Levels Above( Antimartingale)
Our SL will always be three Grid Levels below price through TRAILSTOP....And TP 5 grid levels Above.....
I see where your concern is ...how we calculate the next lotsize
Lotizes are calculated in batches
For example if we open 3 buy grid levels...they all follow the same lotsize until it hits SL( we will have three grid levels of 0.1) ...then next lotsize of the batch is calculated (thus another 3 grid levels of 0.2)