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  #261 (permalink)  
Old 11-12-2007, 10:02 PM
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Quote:
Originally Posted by Traderlarry View Post
Absolutely awesome,Igor, Chapeau !

Any forex broker who doesn't route these orders to the market but takes the other side instead will be wiped out if your system continues to be that profitable, lol !

One thing though...one has to always keep in mind the correlation...if one gets a good signal to go long in EUR/USD, a long signal in GBP/USD in the same time period is pretty likely to work out as well ...and the same is true for a false signal....

Now, if those 1000 pips had been achieved in highly uncorrelated markets, this would be even better... this is sth. that I often think about. Sometimes, it simply doesn't matter whether I go long EUR/USD or go short USD/CHF...correlation is very high in short time periods... Igor knows this for sure, but I think to some this is not always so clear...


I don't know whether this system has ever been tested on Crude Oil, grains or some Asian index futures e.g....

Anyway, terrific results !
Hi Larry,

If one is capable of making an exceptional profit then that is because the market conditions are realy in "tune" or in our favour.
It is "impossible" to achieve the same result in one day on a long on the euro and a short on the gbp and a long on the aussy and and long on the gbp/jpy.

It is only when all noses are headed the same direction that one can make an exceptional profit.

But every day we keep track of the QM, YM, ER, ES, gold, european BUND with the very same system and on the very same time frames. And the results proof to show the same robustness.

When we have some time free we looked to every possible future from paladium to porck bellys, from copper to live cattle even stocks.
And every time time we see the same reliaibility.

Someone in the trading group is trading the ES, ER, YM but also here you have a very high correlation. That 90% of the time you will see that all 3 are long or all 3 are short or all 3 perform well or all 3 fail.
But very importnat is that we see if one would trade all the pairs we trade together with the US index markets that there would be hardly a day with a loss.
Today FX performed amazingly well were US index market produced losses. But the profits of the FX outperform the losses of the future indexes. Were last week on monday tuesday and wednesday the FX produced losses but the profits on the index markets outperformed them.

Important is that we realy know that we have THE EDGE realy in our favour.
The losses can never reach the results of the profits. In every way we turn it.
The moment that 2 pairs show trend then we are from B/E into profit level. So if one trades 9 pairs then you know that the odds are in our favour.
If we have realy bad luck that not one pair or index shows trend then we end up in loss whitout any doubt. The moment that 2 show some action we have +/- a no loosing situation. Everything above that is profit. So as I said, the odds are in our favour

regards...iGoR
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Price moves in a 100% random way so build yourself a system that is not affected by trend or consolidation...(iGoR)
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  #262 (permalink)  
Old 11-16-2007, 07:56 PM
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Hi

please could anyone confirm if these entries are 100% correct? I put the arrows in the open of the bar wich i put the order.

thanks

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  #263 (permalink)  
Old 11-19-2007, 01:45 PM
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Need your help :-)

Hello. Igor,
As the retracement rule, I entry at arrow and exit at arrow also(correct some small loss). But after that, The price jump up again then we need to reentry(thumbs up) ? Please correct me.
Thank in advance.
Cha.


zorro.gif
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  #264 (permalink)  
Old 12-20-2007, 04:34 PM
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Originally Posted by ozymandias View Post
Hi

please could anyone confirm if these entries are 100% correct? I put the arrows in the open of the bar wich i put the order.

thanks

Not realy ozy.
If you work with the pricechannel then it needs also to be in place.

regards...iGoR
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  #265 (permalink)  
Old 01-20-2008, 05:49 AM
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Dear ignor:
I think the 'ZORRo" system is a very interesting and powerful system, but i still do not understand the entry and exit rule, would you please give us some detail in the pdf format.
Regards
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  #266 (permalink)  
Old 01-26-2008, 06:46 PM
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Quote:
Originally Posted by ztdep View Post
Dear ignor:
I think the 'ZORRo" system is a very interesting and powerful system, but i still do not understand the entry and exit rule, would you please give us some detail in the pdf format.
Regards
For me too, please...
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  #267 (permalink)  
Old 02-16-2008, 04:46 AM
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multy timeframe zigzag & bollingger (ustadz methods)

im interesting to trade with price action style. with this style we can made the best in and out. zigzag and bollinggerband are my chossen indic for my style. 123 patern is the simple way to saw the strength of the market. zorro give me a kind of multytimeframe zigzag. and you can see an amazing path/patern if combined its with multytimeframe bollinggerband. Im using this for euro/usd trades only...
btw...how can i uploads a picture here?..
ok good luck guy..
try to find your smallest stoplose and a swingtarget with adding this multytimeframe bbs.
keep it simple!
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  #268 (permalink)  
Old 02-16-2008, 05:13 AM
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multytimeframe averages

ugh...got forget..
im experiencing to shift to bigger tf for the target with adding pitchfork to my trading setup. did anyone can sharing automatic pitchfork & fibo indic?.. what i need is pitchfork indic base on zigzag. i hope that indic atleast can made 3 pithfork(include fibo) automatically updates in one chart (just static pitchfork). i 've tried zup73 indic..but its cant afford my needs...
thanks before,...sorry for bad english
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  #269 (permalink)  
Old 02-16-2008, 03:57 PM
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Angry The end.....

This threat is dead
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  #270 (permalink)  
Old 02-24-2008, 09:38 PM
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Quote:
Originally Posted by ztdep View Post
Dear ignor:
I think the 'ZORRo" system is a very interesting and powerful system, but i still do not understand the entry and exit rule, would you please give us some detail in the pdf format.
Regards
follwed this system and dit some manuell backtesting.
it looks very good to me, thanks to igor for sharing it to the public.
i am not sure of all the possible entries and exits but for me this setup from last fryday in GBPCHF M15 ist very clear and easy to trade.

The big blue line made newer lows , there was a retracement 14:30 cet, the first little red dot.
Following are green bars with newer highs (red dots) and 16:30 the important bar, the signal bar
why, its the first red bar with:
1. signalline same as value, so not green anymore (could become green again, but thats when price hits stoploss)
2. stochastic cross down from a good position
3.. trading time , blue range
4.. stoploss very tight, so low risk and tp room at least to the 14:00 low

thats what i learned from reading this thread, hope im right
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Last edited by balue; 02-24-2008 at 09:43 PM.
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