Shorter timeframe = lesser profits
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Shorter timeframe = lesser profit
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Let me rephrase.
I've been playing around with various timeframe-related strategies, and so far in my backtests it appears to be that signals based on the longer timeframes generate more profits in the long run. For example, if I program a strategy firing off positions based on the M15 chart aligning with the long-term trend based on H1, I can get OK profit. But if I take the same strategy, instead firing off positons based on the daily chart aligning with the long-term trend based on the weekly chart, I get 4 times the profit. I would have thought that the shorter timeframes would generate more profit because they would generate more signals. Can anyone confirm or deny my suspicion that signals generated from longer timeframes generate more profits in the long run, as opposed to the same signals generated from shorter timeframes? Is there some kind of "mathematical law of the markets" that favours the longer timeframes? Is there anyone out there getting more profit from shorter timeframes than the longer ones in their backtests? |
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They generate lager profits because you keep them longer with you.
If you are using an expert advisor then you will have smaller profits but more orders in a shorter timeframe. correct me if I am wrong. I'm still a newbie..
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IMPRESSIVE RESULTS |
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I will add one more term to the equation...
Shorter timeframe = lesser profits = more stress
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F r e e___F o r e x___E b o o k s___a n d___S t u f f s ![]() -> Cheap MQL Coding service for your EA/indicator is Here <- <- |
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It depends on the system, but in most cases I think that larger timeframes bring larger profits. First of all it is a historical fact, probably came from the stock market, things can change in the years to come, due to growing popularity of day trading. Market changes with the people, and people more and more like daytrading.
Second, there is a law, the lower your risks are, the lower your profits are. It you have a system using the same ratios ( rations, not exact figures) for SL and TP then the ammount of capital you risk on smaller timeframes is smaller the the one you risk on a large timeframe, ergo the profits are smaller. Having more positions could make your system more profitable, again, it depends on the system. For example one system could generate 2+3+1 for a week on a small timeframe chart, and in the same time it could generate 10 for the same time on a daily chart. So once again, depends on the system, and there is no rule expept this one.
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Regards, Ravique |
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This was wriiten over 80 Years ago - One of, if not my favorite trading book. I literally listen to parts of this at least once a week on my commute to work
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Curiosity killed the cat, but for a while I was a suspect. -Steven Wright Last edited by mrgreen : 02-02-2008 at 07:09 PM. |
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You are correct the market changes allot, but people also addapt a little bit to those market conditions. The ones that can addapt the fastest are the ones who generates the biggest amount of money. I strongly believe that the pchycological aspect of the market is the most important.
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Daily/Weekly Performance
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Below are results showing trades taken based on oversold/overbought levels on daily chart aligned to trend on weekly chart. Pretty darn good. But using the same strategy on a M15 chart aligned with trend on H1 or H4 chart just doesn't yield anywhere near the same results, only 1000$ for the same period at best.
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F r e e___F o r e x___E b o o k s___a n d___S t u f f s ![]() -> Cheap MQL Coding service for your EA/indicator is Here <- <- |
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