Strategies List
Strategies List

Amao 188

Start date: 24 February 2013
Description: The Chart's time frame I use:   1H, 4H, 1W My Strategy Type: Trend Trading Which trader am I: Technical + Fundamental A list of Indicators I use for my strategy: Moving Average Convergence/Divergence (MACD), Relative Strength Index (RSI), Directional Movement Index (DMI) My Strategy's style: Swing Trading

About the strategy developer: I’m a 34 years old Male from China. My Occupation is Financial analysts. My Education: Graduated from the University My Experience in the financial market: I am a professional financial analysts, nearly more than ten years of foreign exchange, gold real trading experience. Focus on the main straight plate Currency analysis, 5-year the margin real trading experience, the use of the TD indicators to determine the market trend Years of experience in the Forex market: more than 5 years

               

Roland-FX

Start date: 18 February 2013.

Description: My automated strategy works on renko bars to picks up on breakouts beyond the average true range and uses a powerful adaptive trailing stop that has a max loss of 50 pips and take profit of over 300 pips.The Chart's time frame I use: 1M.  My Strategy Type: Trend Trading, Breakout Trading. Which trader am I: Technical A list of Indicators I use for my strategy: Moving Average Convergence/Divergence (MACD), Average True Range My Strategy's style: Day Trading.

About the strategy developer:  I'm 41 years old Gender: Male My Country: USA My Occupation: Project Manager and Web Admin for Forex Portal. My Education: Self taught in developing strategies on multiple markets for tradestation and metatrader. My Experience in the financial market: I have 12+ years as a forex strategy developer and trader, 10 years with Tradestation and programming automated strategies with Metatrader since Jan-2009. Years of expirience in the Forex market: more than 5 years. 


HuaWei
Start date: 28 January 2013
Description:
The Chart's time frame I use: 4H My Strategy Type: Trend Trading Which trader am I: Technical + Fundamental A list of Indicators I use for my strategy: Moving Average Convergence/Divergence (MACD). My Strategy's style: Day Trading
About the strategy developer: I'm aI’m a 37 years old male from China. My Occupation: Research and analysis of foreign exchange, the stock market. My Education: market economics My Experience in the financial market: in college I learn major is a market economy, so I have quite a theoretical basis. I'm engaged in work class professional market, understand the current international economic situation. Have been engaged in stock market analysis. In the foreign exchange market, I have 4 to 5 years of relevant working experience, I like this job.Years of expirience in the Forex market: 4-5 years
        

Skyfall-FX 
Start date: 21 January 2013
Description: I'm a Day Trader. My automated strategy works on renko bars to picks up on breakouts beyond the average true range and uses a powerful adaptive trailing stop that has a max loss of 50 pips and take profit of over 300 pips.The Chart's time frame I use is 1M My Strategy Type: Trend Trading, Breakout Trading. I am a technical trader.  A list of Indicators I use for my strategy: Moving Average Convergence/Divergence (MACD), Average True Range.
About the strategy developer:  I'm 41 years old Gender: Male   My Country: USA My Occupation: Project Manager and Web Admin for Forex Portal. My Education: Self taught in developing strategies on multiple markets for tradestation and metatrader. My Experience in the financial market: I have 12+ years as a forex strategy developer and trader, 10 years with Tradestation and programming automated strategies with Metatrader since Jan-2009. Years of expirience in the Forex market: more than 5 years. 

Katana-FX
Start Date20 November 2012
Description:The Chart's time frame I use:  1M. My Strategy Type: Trend Trading. My Strategy Type: Trend Trading. Which trader am I: Technical.  A list of Indicators I use for my strategy: Moving Average Convergence/Divergence (MACD), Average True Range, Momentum Indicator. My Strategy's style: Day Trading.  More About my Strategy: Four distinct strategies operating on Renko tick charts, generating entry and exit signals based on channels, average true range, and trend following indicators to identify short term (2 to 16 hour) trends on multiple markets. An adaptive trailing stop is applied to each strategy to lock in profits at different stages.     
About the strategy developer:  My Age: 41 years old. Gender: Male. My Country: Untied States. My Occupation: Project Manager - FX Website. My Education: Self taught in Easylanguage and MLQ4 programming. My Experience in the financial market: Started trading forex in 2000, became a money manager from 2002 to 2009 using trend following systems developed in Tradestation. Learned MQL4 and started developing trend systems for private accounts and became a signal provider in early 2012.  

PSSB
Start Date31 July 2012
Description:My Strategy Type: Breakout Trading, I'm a Technical  trader. A list of Indicators I use for my strategy: Std deviation, ATX. My Strategy's style: Day Trading,Swing Trading.  More About my Strategy: It uses a long ADX to filter the volatility. Entries are triggered by looking at the H, L, C of the last few bars compared to a standard deviation (in other words it is a break out entry). Exits are either hard stops or based on time and ADX.
About the strategy developer:  My Age: 39 years old , Male from the USA. I'm a  manager in Air and Space Industry and i have a Masters Degree in Engineering. My Experience in the financial market: I started part time trading "seriously" in 2005 taking classes with Investools, after 1 year I took a break because: I was barely breaking even while spending a lot of time on it. I created an LLC in 2010 for taxes purpose. I am considering becoming a CTA. Also, I have a full time job in the air & space industry, I have a masters degree in mechanical engineering with professional experience in software development.   

PSSB1
Start Date02 July 2012
Description: The Chart's time frame I use: 10M. My Strategy Type: Breakout Trading. Which trader am I: Technicall. A list of Indicators I use for my strategy: Std deviation, ATX.  My Strategy's style: Day Trading, Swing Trading.   More About my Strategy: It uses a long ADX to filter the volatility. Entries are triggered by looking at the H, L, C of the last few bars compared to a standard deviation (in other words it is a break out entry). Exits are either hard stops or based on time and ADX.
About the strategy developer:  My Age: 39 years old. Gender: Male. My Country: USA.  My Occupation: Manager in Air and Space Industry.   My Education: Masters Degree in Engineering. My Experience in the financial market: I started part time trading "seriously" in 2005 taking classes with Investools, after 1 year I took a break because: I was barely breaking even while spending a lot of time on it. I took more classes in 2010 with Online Trading Academy trying to make an income not linked to an 8-5 job. I tried many different styles of trading, many asset classes and time frames etc. before to settle on automated strategies trading in Forex in 2011. Also, I have a full time job in the air & space industry, I have a masters degree in mechanical engineering with professional experience in software development.           


D.B. Gold
Start Date: 04 September 2012Description: I am a Technical trader.  The Chart's time frame I use: 1H, 1D. My Strategy Type: Trend Trading. I use Fibonacci and Elliot Wave as indicators for my strategy. My Strategy's style: Swing trading 
About the strategy developer: I'm a 35 years old Male from Israel. i work as an Account Manager and my offical  education is a Psychology degree and Portfolio managment. I have 9 years of expirience in the Forex market.

Pro-Trader's Toolbox
Start Date22 Augost 2012
DescriptionThe Chart's time frame I use:   1H, 4H, 1D, 1W My Strategy Type: Trend Trading , Range Trading, Breakout Trading, Counter Trend Trading     A list of Indicators I use for my strategy: Proprietary Algo My Strategy's style: Swing Trading More About my Strategy:The Pro-Trader's Toolbox attempts to find key price/tiime relationships on multiple time frames where the psychology behind the order-flow has potential to change. The basic assumption is that order-flow is always in a state of imbalance and that once the imbalance has pushed prices to a certain point a reversal or retreat against trend is likely.
About the strategy developer:  I'm 52 years old, Male from the USA. My Occupation: FOREX Analyst & Trader. My Education: Self-Taught and Self-Educated in the Markets I have more than 5 years experinace in the Forex marker. My Experience in the financial market: I began my career first as a customer in 1986 and then later I became a series 3 registered broker in 1987. I have work in almost all facets of the trading business, I have authored several trading systems, trained other successful traders and I have been published in many industry periodicals; my numerous articles on global cash FOREX have appeared in "Traders Savvy", "The Perspective", “SFO Magazine”, “Futures Magazine”, "FX Magazine" and other industry publications. I have been a regular guest on FOREX TV and the Jack Bouroudjian Show as well as other business radio and television shows. I am the author of "Trading Rules that Work: The 28 essential lessons every trader must master" (John Wiley & Sons, October 2006), a regular Amazon top-100 best seller in the category of “Futures”. My second book "The Art of the Trade: What I learned (and lost) trading the Chicago futures markets" (John Wiley & Sons, October, 2008) is an autobiography of my education as a trader and is also a regular Amazon top-100 bestseller in the category of “biography/business”. My latest book titled "Time Compression Trading: Exploiting multiple time frames in zero sum markets" (John Wiley & Sons, October 2010) is also a regular Amazon top-100 best seller in its category of "Finance". More about me: I have chosen to focus on the psychology of trading as the key component to a successful trading methodology; I teach a six-week course on trading psychology every quarter to traders from around the world. I often appear regularly as a guest speaker at many public and private trading forums and I have been invited to speak at round table discussions offered by events such as “The Orlando MoneyShow” and “The New York Trader’s Expo” I provide regular trade coaching/mentoring and analysis working directly with traders of all skill levels and, of course, I trade my own accounts every day. I was born and raised in Chicago, IL; I am an avid Sailor and Private Pilot.
       

Fx Pip Earner
Start Date21 Augost 2012
Description: The Chart's time frame I use: 1DMy Strategy Type: Breakout Trading Which trader am I: Technical + Fundamental A list of Indicators I use for my strategy: Moving Average Convergence/Divergence (MACD), Directional Movement Index (DMI), Momentum Indicator My Strategy's style: Position Trading More About my Strategy: Fx pip earner is a team of 10 member formed. All of we have more than 5 year experience in Forex market. We will observe the 1 Day trend of the market before enter into the market
About the strategy developer: My Age: 21 years old, Male from Malaysia. My Occupation: Forex fund manager. My Education: Educated through a lot of live seminar and been study forex for more than 5 years Years of expirience in the Forex market: All of our members involve in market for more than 5 year More about me: I am one of the member of fx pip earner, my duty is to deal with the support of the tradency platform

MG Entries
Start Date05 September 2012
Description: the Chart Time frame I use is Singapore Time: 9am to 12pm My strategy type is Trend The indicators I use for trading are Technical analysis based on Elliot Wave and trend movement, every trade is enter with consider both fundamental and technical analysis I use 25% of the stand lot size, such as for a USD10k account, my max position is 0.25 standard lot instead of 1 standard lot Since middle of last year, I consider myself more towards fundamental trader with technical analysis, while before that I am a pure technical trader. I will modify and adjust my strategy constantly – my strategy now is different from strategy 2 month ago
About the strategy developer7 years’ experience trading forex with 2 years’ experience as money manager. Each of my signal is monitoring closely by myself in daily basis, my entries are general with the consideration of fundamental such as national bonds, major economic calendar, stocks, etc as well as technical analysis. Besides, each of my signal are sent from my live account which some of it are the money manager accounts.
 
Pro-Trader's Toolbox
Start Date22 Augost 2012
Description: The Chart's time frame I use:   1H, 4H, 1D, 1W My Strategy Type: Trend Trading , Range Trading, Breakout Trading, Counter Trend Trading     A list of Indicators I use for my strategy: Proprietary Algo My Strategy's style: Swing Trading More About my Strategy:The Pro-Trader's Toolbox attempts to find key price/tiime relationships on multiple time frames where the psychology behind the order-flow has potential to change. The basic assumption is that order-flow is always in a state of imbalance and that once the imbalance has pushed prices to a certain point a reversal or retreat against trend is likely. My Age: 52 years old, Male from the USA. My Occupation: FOREX Analyst & Trader. My Education: Self-Taught and Self-Educated in the Markets University of Illinois, Champaign-Urbana. More than 5 years of expirience in the Forex market My Experience in the financial market: I began my career first as a customer in 1986 and then later I became a series 3 registered broker in 1987. I have work in almost all facets of the trading business, I have authored several trading systems, trained other successful traders and I have been published in many industry periodicals; my numerous articles on global cash FOREX have appeared in "Traders Savvy", "The Perspective", “SFO Magazine”, “Futures Magazine”, "FX Magazine" and other industry publications. I have been a regular guest on FOREX TV and the Jack Bouroudjian Show as well as other business radio and television shows. I am the author of "Trading Rules that Work: The 28 essential lessons every trader must master" (John Wiley & Sons, October 2006), a regular Amazon top-100 best seller in the category of “Futures”. My second book "The Art of the Trade: What I learned (and lost) trading the Chicago futures markets" (John Wiley & Sons, October, 2008) is an autobiography of my education as a trader and is also a regular Amazon top-100 bestseller in the category of “biography/business”. My latest book titled "Time Compression Trading: Exploiting multiple time frames in zero sum markets" (John Wiley & Sons, October 2010) is also a regular Amazon top-100 best seller in its category of "Finance". Years of expirience in the Forex market: more than 5 years
About the strategy developer: More about me: I have chosen to focus on the psychology of trading as the key component to a successful trading methodology; I teach a six-week course on trading psychology every quarter to traders from around the world. I often appear regularly as a guest speaker at many public and private trading forums and I have been invited to speak at round table discussions offered by events such as “The Orlando MoneyShow” and “The New York Trader’s Expo” I provide regular trade coaching/mentoring and analysis working directly with traders of all skill levels and, of course, I trade my own accounts every day. I was born and raised in Chicago, IL; I am an avid Sailor and Private Pilot.  

Sultan11
Start Date23 July 2012
Description:The Chart's time frame I use: 1H, 4HMy Strategy Type: Trend Trading, Range Trading, Scalping Trading Which trader am I: Technical + Fundamental A list of Indicators I use for my strategy: Moving Average Convergence/Divergence (MACD), Relative Strength Index (RSI), Bollinger Bands, Rate of Change (ROC), Average True Range, Momentum Indicator My Strategy's style: Day Trading, Position Trading
About the strategy developer: My Age: 32 years old, Male from Egypt. My Occupation: Lawyer. My Education: I am Graduate faculty of law cairo of univarsity and i have master of international law Years of expirience in the Forex market: 4-5 Years More about me: I am married man and i have a daughter and a son. I have office of lawyer
Tornado4x
Start Date06 July 2012
Description: The Chart Time frame I use is: 4H  My strategy type is Trend    The indicators used in my strategy are Weighted Averages and RCI. To enter a trade, I see when a currency pair is over bought/sold and the reverse trend is established.  The stop loss is fixed at XXX(※) but I monitor the trades and can close the trades if a very strong reverse trend is detected.
About the strategy developer:  I am purely a technical trader.  I carry on constant research on my strategy and will keep on improving it after having tested the modifications on a demo server.    Eudcation: Doctorate degree in Telecommunications.  Profession: Product developer in a Microelectronics Company  Experience in Forex: Almost a year. Forex has become my passion.    Very stable and consistent strategy…I am testing some major upgrades which would enable us to gain up to 50 pips per trade
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FXcn1985.cn
Start Date05 July 2012
Description:the Chart Time frame I use is 1hour My strategy type is range The indicators I use for trading are MA、MACD The risk of stop-loss is about 100 pips I'm a Technical traders I will not hesitate to modify the system according to changes in the market Daily cross traded currency pair AUD GBP NZD EUR CHF the CAD JPY Day time trading Trading stop loss profit of 100 points 100 points Transactions 170 transactions per week
About the strategy developer: I have five years of experience in the foreign exchange Major transaction AUD EUR GPB NZD JPY CAD CHFAccording to the U.S. dollar daily trading signals sent within the same time my advantages are Influenced by emotional factors, and after deliberation to avoid transaction Trading system designed by professional traders Transaction automation function 24 hours a day to capture the opportunities

Unwabu
Start Date30 June 2012
Description: The Chart's time frame I use: 30MMy Strategy Type: Trend Trading and Breakout Trading Which trader am I: Technical I send signals: Automatically My Risk Management guidelines: A list of Indicators I use for my strategy: Relative Strength Index (RSI), Bollinger Bands, Average True Range, Moving averages My Strategy's style: Swing Trading A list of Indicators I use for my strategy: More About my Strategy: I am so frustrated with all the get-rich-quick-schemes in the forex industry. There are so many trading robots and scalping-schemes with empty promises. However, a STABLE and LONG-TERM equity curve is the key to financial success. Unwabu is based on SOLID MATHEMATICS and STATISTICS. It was back-tested with 12.5 years of historic data, from 2000 to mid 2012. It operates on the M30 EUR/USD chart and is a BREAKOUT STRATEGY which makes use of the relative strength index (RSI) and Bollinger Bands indicators as well as moving averages. Stop loss and take profit levels are used for each trade and are AUTOMATICALLY ADJUSTED based on the current market volatility.
About the strategy developer:  My Age: 30 years old, Male from the Netherlands. My Occupation: Student.My Education: I have completed my bachelors and masters degrees in physics. I am currently completing my phd in physics. Years of expirience in the Forex market: I have been trading forex for the past year. More about me: South African physicist living in the Netherlands; passionate rugby player; semi-retired rock-climber; interested in forex; intrigued by the universe
Home Runs
Start Date26 June 2012
Description: The Chart's time frame I use: 1D My Strategy Type: Trend, Breakout and Range A list of Indicators I use for my strategy: None Which trader am I: Fundamental and Technical My Risk Management guidelines: On which conditions my strategy enters and exits a trade? My advantages are: 4 More about my strategy: My model is long term, not short term, with a combination of other pairs.
About the strategy developer: my Age: 25, from United State. My Occupation:CSR/Tech Support.  My Education: Most College. My Experience in the financial market: Have been trading FX for 7 years
Euro Swing 2
Start Date13 June 2012
Description: the Chart Time frame I use is Singapore Time: 4 Hour My strategy type is Trend The indicators I use for trading are Proprietary algorithm and moving averages. Fixed max T/P and S/L on all trades. My guidelines for risk management is Stop moved to breakeven after sufficient profit. I'm a Technical trader The strategy parameters are adjusted as market changes.
About the strategy developer:  MEng Electronic Engineering specializing signal processing. Algorithmic trader. Benedix Professional trader qualification, UK 7 years trading experience, 3 and half years forex/commodities. Worked in several commodities brokerages. Designed commercial algorithms for the medical industry. Professionally designed system tested over 6 months and backtested 5 years. Works in all market conditions. Strong risk management. Automation takes out human risk errors. Uses proprietary dynamic algorithm.    

the archangel
Start Date22 May 2012
Description:I focus on currency pairs undervalued and overvalued with definite trend, use 3 technical indicators: rsi, stochastic and moving average methods, I am conservative management a stop loss of about 150 pips. Courses and training courses forex traders with juan diego gomez, director of invest better - Colombia

handofgirl-88
Start Date14 April 2012
Description: the Chart Time frame I use is Daily My strategy type is Trend I often use KDJ, RSI index, range trading method for trading. I set the maximum positions for 4 at the same time. Through the small stops to control risk. Once I created a strategy, I will stick to my trading system trading.
About the strategy developer: From the beginning of 2006, I have been engaged in stock, futures, foreign exchange transactions. I have rich experience on foreign exchange transactions. Good long hedge (lock) trading. The short swing trading is my specialty.
jujlaru
Start Date06 April 2012
Description: The Chart Time frame I use is: 5,15, 1hr. My strategy type is Trend I use Mac’d, Stochastics and DMI. I also use proprietary software that is price-based instead of time-based. The net result is more reliable entry and exit signals. My stop loss is  set at about  of 100. Trades need room to breath. I monitor all open positions and try to minimize drawdown. My style is Technical. Changing an effective strategy can be dangerous. It is more effective to have the discipline to wait for the proper setups.
About the strategy developer: I actually do not come from a financial background. I became interested in the Forex market about 14 years ago. After attending a free seminar and spending thousands for a software program that promised riches, it quickly became clear that there was a lot of hard work ahead! Over the last 14 years, I have invested literally thousands of hours educating myself and studying charts, patterns and indicators. My goal has always been to make my living as a trader. Through hard work, determination and a refusal to quit I have developed and refined my trading system offered to you now. Systems are like market cycles. They have variance. It’s impossible to win every trade. Consistently earning pips and managing risk is the key to profitability. Thank you for considering my system. I will work very hard to make this an ongoing success!

EWP 3.0
Start Date: 26 March 2012

Description: I use self set up mathematical formulas to measure major trend, minor waves, and point to enter/exit a position. Risk management self standard: No over trade (close to 1000 pips drawdown fund reserves). Making cut loss once major trend is indicated changing. I modify and adjust it constantly to changes in the market behavior 

About the strategy developer: I'm a technical trader, I have bachelor degree majoring in Economics, and 18 years working experiences in financial industry. Starting from middle of 2fr11, after around 3 years experiences as part time forex trader, I decided to resign from the company and becoming full time forex trader up to now. Advantages of the strategy : Applied for in day trading so the strategy is able to grab profit opportunity in every possible short time frame. cut loss decision once major trend is indicated changed secure position from bigger loss amount


Beast 1.0.0
Start Date06 March 2012
Description: The Chart Time frame I use is Singapore Time: EURUSD 5 minute My strategy type is a combination of Trend/Range. (more so Range) Our strategy is based on many years in the trading world. We have extensive experience trading stocks, futures and forex. We base many of our ‘IN’ strategy by reading the charts and base our ‘OUT’ strategy by reading market conditions and news. We never risk more than 30% of the total account value. Reaching near 30% would only happen in extreme measure and due to unpredicted huge market moves. We constantly work on modifying our strategies.
About the strategy developer:  I worked as a systems engineer for one of the biggest IT services provider in Japan. (14 years) Have been trading stocks, futures and forex for 6 years. Our main advantage is that we have in-house engineers that constantly work on adapting our trading systems to the current and future market conditions.

Symphony FX
Start Date03 March 2012
Description:Market is more than random movements, being its fractal dimension dependent also on the time frame. In short time frames, market behaves mainly in range, but if we operate in this region benefits are grabbed by the broker spread. In large time frames trends predominate, but benefits are small due to the small trading frequency. And then, there is a time range where market behaves in trend or range depending on market conditions. In this frame we evaluate if the origin of an apparent trend is stochastic or it has statistical significance; and the system only enters in significant trends. The determination of “which are real trends”, and the instant and size of the trade, are based on our knowledge of chaos physics, no “chartist” or “classic technical parameters” are used. In other words: System is focused in separating “signal” (or trend) from “noise”, reacting only to the signal, to the “music”… this is why it is called Symphony... Risk management: The system tries to play fair with the money of the client. Each trade is open with a symmetric size, even with TP bigger than SL, and we incorporate trailing stops. Furthermore we will never open simultaneous trades, because we know that market always can turn against you, even with the most accurate forecast. In the long term, the size and the percentage of winning trades will exceed looser trades, but drawdowns can occur. Anyway the biggest drawdowns will never happen overnight, but during several days or weeks. The system is not “classical technical trading” but neither “fundamental”. The system tries to by a rapidly adaptive scientifically fundamented trading. In fact, it usually detects and enters the rallies after news in their first minutes. The system evaluates constantly each market, in their actual state and in its historic “personality”, and decides to enter only when actual state suggests it, taking into account the changing historical character of any particular market. Additionally, backtesting is always on, with historical tick data and, periodically, small modifications of the system are tested, and implemented only those that really improve significantly the future expectations.
About the strategy developer: I’m PHD in Physics, Degree in Engineering, Professor of Applied Physics in Universidad Politécnica de Valencia, and Researcher in Numerical methods Applied to Physics. My experience in Forex starts in 2005 trading by my own small quantities for fun; in 2007 I started to develop my own scientific approaches to market dynamics and to maintain a Forex blog www.forex-es.com . Today I only trade following my proprietary parameters in markets whose dynamics I have intensely evaluated. Maybe there are some strategies, in Tradency chart, that show result curves similar than mine. In comparison to those strategies, mine offers diversification alternatives. But in comparison to any other, mine offers best risk management (only one simultaneous trade with small stop loss) similar or better yearly returns, consistent montly returns, and regular trading frequency. Furthermore, the results obtained show low correlation with long term market movements, I mean Beta almost cero  

fxmoney
Start Date: 21 march 2012
Description: I use the average index to decide when to enter or exit a position. My strategy type is: Trend. Chart Time frame for each pair is: 1 Hours
About the strategy developer: I am a technical trader I have 7 years in the foreign exchange trading, the trader has accumulated rich experience. I use the trend of the Exchange Act. Along the trend to maximize profits. During the market order to reduce the number of transactions.

BankTrader
Start Date: 07 February 2012
Description: the Chart Time frame I use is M30 for all pairs My strategy type is TREND I use proprietary indicators. I enter towards the end of the London trading session and I trade mostly the Asian session. I use about 200 pip stop loss in case of unexpected news. I am a “technical” trader, driven by market fundamentals. This strategy is based on a market inefficiency, so it will not be changed unless the market inefficiency changes.
About the strategy developer: I have a Master’s Degree in economics, with postgraduate education in statistics. I have professionally traded options, equities, and indices and now I trade fx. Started with trading right after graduation up to today. Been involved with fx for some 8 years. My advantage is that I exploit a fundamental market inefficiency, and not some model that is based on some statistical fact that probably will go away due to non-stationarity of the market. This strategy is highly likely to continue to work because human nature does not change very often.

F2T Investment
Start Date: 01 February 2012
Description: the Chart Time frame I use is 5MN/H/D The indicators I use for trading are Support/Resistance, Momentum, Eliott wave. My risk management is 100/120 bips down max / month I'm a Technical trader but always looking for economical condition for long term decision My strategy is always in development/improvment.
About the strategy developer: I have BACHELOR DEGREE FINANCE/ACCOUNTING. WORKED IN MAIN BANK : JP MORGAN,BNP, SGAM AND ALTERNATIVE ASSET MANAGEMENT COMPANY. 12 YEARS EXPERIENCE TRADING. My advantates are MONEY MANAGEMENT CALCULATION FOR LONG TERM BASIS INVESTMENT RETURN.

forex e
Start Date: 24 January 2012
Description:My strategy type is Trend The system is based on a series of successful strategy and professional technical analysis combination. The system of pursuit is stable profits, reasonable position, and control risk. At the same time open position :1, the max position : 3, stop loss: about 100 pips. Usually intra-day trading, trends trade. When we go to oppose the market trend, we want to shut down trade, so that we can ensure the security of capital account. In the existence of the signal, considering the risk. Work hard, serious and responsible. 
About the strategy developer: I have more than 10 years working experience in the commercial market, foreign exchange transactions in more than three years. I really like this industry. My advantages are proficient in technology and a good state of mind.

Exotic
Start Date: 9 November 2011

Description: We use MACD to find big oscillation on D1 scale. When we know that we are on trading range on D1 scale, we will search trend in H1 scale in the direction of the actual oscillation (Bearish or Bullish Trend). When we find the trend we compute the highest or lowest price during the last H1 period and place an option at this level to confirm the trend.
Exotic is done to capture 320 pips movement and ride the good wave to reach this level of pips.
We follow the performance of the strategy to reduce the SL and continue to work on profit factor indicator.
About the strategy developer: I am a classic trader and a 10 year old senior developer who produce forex strategies as its main activites improving each month the performance of its expert advisor.
I was head of development of a big international media company and worked in different IT company .


The Rob
 Start Date: 3 November 2011

Description: I use proprietary leading daily indicators coupled with Fibonacci to help me decide which way I will go. I then use a 1 minute chart on those same indicators to help with my entrance. I use a historical average to help me with risk. I use fundamentals to trade. My strategy is to almost always only go with one trade and go 10 pips in one direction on that trade. I uasualy place my trade at the close/open of every day Monday –Thursday. Having the strategy mentioned above is great, but I am constantly working on variables that change and seeking new tools to add to my chest and create a more successful trade each day.
About the strategy developer: I am a regular guy with a family. I have 5 children and a beautiful wife. Spending time with my family is one of the most important things in the world to me. This is why I trade. It allows me time to spend year with them. I have been trading in the Forex market for just about 1 year and I am a newbie for sure. However, that said I have good results within that year. So as new as I may be I am doing well. I believe in a good ROI.
Chart Time frame: Daily
Strategy Type: Trend and Breakout and Range


Trader4403 
Start Date: 25 October 2011

Description:I use Exponential Moving Averages for trend spotting and entry’s and oscillators for exits.
In general you can say the strategy is to spot a trend wait for a pullback in the trend and then try to ride the trend. If there is sign of weakness in the indicators I will be cautioned, but I let the price decide/confirm.
I will not use more than 1-2% capital per trade I suggest you not to use more. Based on you risk profile you can choose a higher percentage of course what would be more dangerous.
I'm a technical trader.
The Strategy will be improved through experience. If market does not show good setups there will be no trade.
About the strategy developer: I am studying industrial engineering and management and will be graduating with a diploma in 2012.I am trading since 2003/2004 in the stock market and CFDs. Trading Forex since about one year.
Position sizing and trade management:
For optimal management you have to allow my strategy to open two trades /positions (I consider these two positions as one trade) at the time. The reason is that we are going to close one of the positions in an early state of the trade with some profit. The second position is remaining and aiming to make a larger profit if the trend we are in is remaining.
New stop loss (05.01.2012):  The maximum stop loss we are using now is at about 50pips.
This stop lose is a kind of an emergency stop lose for the case that something like internet connection gets broke or other stuff happens.
Usually we will the 50 pip stop loss not let get hit and exit our trade earlier.
This means we are going to lose about 100 pips (50pips twice) in the worst case.
For a 10.000$ account with 1% risk a trade this means to open 2 positions with each 0.1 lots = 10k
Example:
100.000$ * 0.1 (Lot) *0.0050 (Pips) *2 Trades = 100$ = 1% of 10.000$
For 2% risk this means to open 2 position with each 0.2 lots and so on.


GainFX
Start Date: 15 October 2011

Description: I use Moving Average. BUY if above MA & SELL if under MA. Exit when touch SL & TP. You can follow all my signal for EURUSD, GBPUSD & EURGBP. I'm Technical trader.
I nodify my strategy if there is more than 50% drawdown.
About the strategy developer: I am a graduate degree in Economics and currently working in one of the national banking. I know forex since 2004 when I was in college.
Advantage: We try to set a bigger TP than SL so with more than 50% it will  gain profit.
Chart Time Frame: M30
Strategy Type: Trend & Breakout


Pip daddy
Start Date: 13 October 2011
Description: The strategy I use is time based and most of the time I use the 1hr chart to enter my trades or to enter pending orders based off the 1 hr time frame.

I have about -100 pip stop loss, I prefer to have all trades closed out on Friday so not to carry them on the weekend. I am a fundamental and Technical trader.
The System we keep up to date based on the current forex market. The debt worries and also the news that could affect the prices on a minute by minute.
About the strategy developer: I am father of 3 girls that is where the name PIP DADDy comes from. I have traded the markets since 1984 and have traded the forex market since 2003.
I feel over time this strategy should be a overall great system for the average forex trader.

MHFX01

Start Date: 27 September 2011

Description: I use a combination of Stochastic, RSI and Parabolic in conjunction with Fib retracements to enter a position. I start with 50 pips SL and move to breakeven as soon as possible. I’m both a fundamental and technical trader in nature. I make occasional changes to my strategy to meet the market conditions

About the strategy developer: I’m an experienced Forex trader
I don’t just relay on automated strategies, I manage them if they are not in sync with the market sentiments


4 Pairs_2

Start Date: 25 September 2011

Description: The indicators I'm using are RSI and BB, intuition.
Normally I open one Trade with an Initial Stop of around 100 Pips, when I reached the 100 Pips against me but I see that I am still right, it is possible that I switch the Stop to 200 Pips and open another Position with 100 Pips Stop-Loss.
About the strategy developer: I'm a Technical Trader and I try to always optimize my strategy. 
I'm trading Forex for 2 years, before I enetered the Forex market I traded Warrants and CFDs


Dynamic FX

Start Date: 14 September 2011
Description: Dynamic FX relies on the Ichimoku indicator, supported by RSI, MACD, Fibonacci Retracements, SMA 200, and Trend Lines.  For short and medium term trading the trigger is an Ichimoku crossover, or a trend line break on the 4 hour chart with trend confirmation from the other indicators. For intraday trading Dynamic FX relies on trend lines and Fibonacci Retracements.
Since Dynamic FX can open multiple trades, it is strongly recommended to use low leverage. In any case no single trade must be larger than 1% of an account’s equity. I'm a technical trader.
Dynamic FX is very adjustable and furthermore is constantly tested in simulations using the Strategy Trader platform.
About the strategy developer: I am 35 years old. I hold a Bachelors Degree in Business Administration from Kingston University, London. I was introduced to Forex 3 years ago and I have been practicing for 18 months before investing my own money. For almost a year now I am trading full time.


Momentum Waves

Start Date: 13 September 2011
Description: The indicators used are CCI, Moving averages, Fibonacci
I decide to enter a trade once I experience a CCI crossover oronce a breakout occurs
I never add to losing trades and I ensure to put a maximum of 5% of my account at risk.
I am a classical technical trader
My Momentum Waves trading strategy is a long term trend strategy that is not subject to much news volatility and I only adjust it if/when markets begin to behave irrationally in times of crises.
About the strategy developer: CHP Level 1 Certified with 16 Months of Trading Experience Spent Over 116 hours of One-on-One Mentoring with Experienced Trader of 2.5 Years
Invested $7,500+ on Professional Courses to Improve Trading Skills. Invested an Additional $2,700 on a Dedicated Computer System with 3-27 Inch HD Monitors
Personally Empowered 6 Students from Zero to Achieve a Basic Level of Forex Trading Knowledge Systemic Trader with Discretionary Flexibility
Void of Emotion: Critical, Analytical, Logical & Rational Trader Uses less than 10 Times Leverage for Everyday Trading
Risk / Reward of 1:2 or Better A True Academic of the Marketplace Mindset of an Institutional Trader as Opposed to a Retail Trader
Extremely Resourceful and “Out-of-the-Box” Trader Capable of Generating 10+ Trading Ideas Daily 20+ Pending Orders at Any Given Moment Waiting to be Triggered
Efficient Multi-Tasker Capable of Simultaneously Monitoring 12 Currency Pairs on 12 Separate Charts
Efficient Multi-Tasker Capable of Simultaneously Managing 5 Accounts & as Many as 21 Open Trades
Able to Scale-In and Out of Open Trades Event-Driven Trader, but NOT Trade the News Event Itself Breakout Trader & Momentum Trader High-Probability, High-Frequency Trader
Uses Support and Resistance, Supply and Demand Levels Multiple Time Frame Analysis Able to Trade in a Ranging Market Mostly Trading with the Trend Confident in Executing an Occasional Counter-Trend Trade User of With my strategy, there is an actual human being who is constantly reviewing trade ideas. As a human I am very picky as to which trades I take.
I execute my mirror trader trade recommendations on the hard earned money in my own account.


APS SPLIT BUYZ EOD

Start Date: 30 August 2011
Description: With this system you will enter the market with 2 positions and exit the first as with a smaller profit and hold the second for a larger profit or exit out at the end of the trading day to close either the one that is left or both if the first target is not triggered.The entry is activated buy moving average crossover combined with macd and parabolic computations which are intergraded into the coding.These are best used in pairs being that these only buy the market you should use with a reciprocal market example: EURUSD with the  USDCHF so you always have a hedge on the opposite side. Slow and methodical as to make profits and not over trade to expose profits
Chart time frame: 1 Hour
Strategy Type: Breakout


LazyRockstar / SystemSP

Start Date: 28 August 2011
Description: I just use Bollinger Bands and RSI. My main decision for an Entry or Exit is my Experience and the feeling for the market. The indicators are the second help, For example when I got the signal to buy but all indicators are against me, I won´t open the position.
When I see that I can push the market I open more positions than normal.
But my main focus is on managing my risk, if I have an open position with my expecatation but I have the feeling that the market has no more power to reach the goal, I prefer closing the position.
I am definitely a technical trader, in my opinion everything is already in the market, so it is enough just to watch the Chart.
I always try to change my strategy and optimize it. 
About me: I  studied economics the last years at university but to be honest I spent 90% of the whole studies at home in front of my Trading-Pc and watched the market and analysed it.
I started with the markets around 7 years ago with Warrants and later CFD´s, but in the end I ended up in Forex because for me this is the most interesting market, because here u can find 24 hours a day a good chance to Trade. In the end just the result is important and that I do a good Job.
Chart time frame: Daily, 1h, 15min
Strategy type: It is a Mix of everything, it depends on the situation as well, but mostly Trend (Daily)


Searching Talents

Start Date: 21 August 2011
Description: I just use Bollinger Bands and RSI. My main decision for an Entry or Exit is my Experience and the feeling for the market. The indicators are the second help, For example when I got the signal to buy but all indicators are against me, I won´t open the position.
When I see that I can push the market I open more positions than normal.
But my main focus is on managing my risk, if I have an open position with my expecatation but I have the feeling that the market has no more power to reach the goal, I prefer closing the position.
I am definitely a technical trader, in my opinion everything is already in the market, so it is enough just to watch the Chart. I always try to change my strategy and optimize it. 
About the strategy developer: I  studied economics the last years at university but to be honest I spent 90% of the whole studies at home in front of my Trading-Pc and watched the market and analysed it.
I started with the markets around 7 years ago with Warrants and later CFD´s, but in the end I ended up in Forex because for me this is the most interesting market, because here u can find 24 hours a day a good chance to Trade. In the end just the result is important and that I do a good Job.
Chart time frame: Daily, 1h, 15min
Strategy type: It is a Mix of everything, it depends on the situation as well, but mostly Trend (Daily)


Gowin

Start Date: 14 August 2011
Description: I use Moving Average and Fibonacci Retracement.
For each order I have strict risk management with stop losses and money management via lot sizing.
Sometimes I modify and adjust the systems to changes in the market behavior, it depends on market volatility.
I am a technical trader. My system is  long-term and steady strategy for continuous growth.
About the strategy developer: I has been in Forex trade for 9 years and in commodity future for 8 years. My trading philosophy includes different short term and counter trend systems. I focus on major pairs such as EURUSD, USDCHF, GBPUSD and USDJPY.


OnTheRiver

Start Date: 27 July 2011
Description: OnTheRiver sniff the trend on D1 TimeChart with MA and detect on H1 with William Percentage the opportunity to place a conditional Buy Stop or Sell Stop Order calculated with an internal method linked to the maxima/minima of the last period.
When the position is hold, OnTheRiver continue to sniff the trend with MA indicator to close the position when the trend reverse.We are not focus on win percentage but on Pips gained.
About the strategy developer: I am a classic trader and a 10 year old senior developer who produce forex strategies as its main activites improving each month the performance of its expert advisor.
I was head of development of a big international media company and worked in different IT company.
OnTheRiver is a “pips hunter” dedicated to make the best earn in a period. It’s a medium risky strategy done for trend period.


FxThunder

Start Date: 27 July 2011
Description: FxThunder detect trading range figure and act inside the trending range testing the borders.
We use Willam Percentage Indicator linked to MACD for direction of the rebound.
When the two indicators give a signal to buy or to sell, we place a conditional order ( BUY STOP or SELL STOP)nearby the highest or lowest price in the last days. This system is aim to perform well in trading range situation with low risk profile (only a 100 SL).
About the strategy developer: I am a classic trader and a 10 year old senior developer who produce forex strategies as its main activites improving each month the performance of its expert advisor.
I was head of development of a big international media company and worked in different IT company .


PRIUS

Start Date: 18 June 2011
Description: PRIUS use the parameters of Stoploss, Trairing stop, Breakeven on each currency pairs and it is optimized and is restricted drawdown.
When our original 2 indicators matches at X minutes, PRIUS opens the position and close the position. We think there is no complete system trading. So we have to adopot the market if the market changes the condition at random times.
About the strategy developer:  Six Investment is a financial advisory in Japan. Registored in Japanese FSA.
We have special team of developping strategies and test their performance seriously.
We spend much time to back testing and forward testing.

Our advantages are:
・Stable performance
・Low drawdown
・Divarsify risk by using multiple currency pairs


FxWorkz  

Start date: 11 June 2011
Description: I'm a technical trader. I trade according to a self-constructed price action and price level system. I have two custom made indicators which measures the strength of the trend and the distance from the mean price.
Apart from that a special set up Bollinger band helps me to make my decision.
My system works in all market conditions however it would perform better in trending markets.
I don't trade on the news but I do follow the important news times.
About the strategy developer: Electronics in Mustafa Kemal University, Iskenderun. I have been trading stocks and bonds since 1998 and I started trading Forex in 2004 and since then I have been trading almost everyday.
After I finished univesity I started working in various companies. Hattat Agricultural AS (after sales department), Gümüşsuyu Halı (IT Department), Döküm
Metal AS (ERP Project Manager). I was trading during those years as well. And I have been trading for living past 5 years.
Age 32. Studied Industrial
Strategy Type: Price Action and Trend following


Kumo Trader
Start Date: 7 May 2011
Description:This strategy trades 5 successful signals given by the Ichimoku indicator on the 30 minutes time frame: - Tenkan Sen/Kijun Sen Cross- Kijun Sen Cross- Kumo Breakout- Senkou Span Cross- Chikou Span Cross If a trade entry signal is generated, it must pass a filter of other and self-written indicators before entering a position. All trades always have a initial stop loss at 130 pips, which is changed to a trailing stop to save profit if the market follows the trade direction. Trades are closed if the signals gets weak or the related closing conditions are filled. The strategy trades fully automated.
About the strategy developer: I have more than 20 years experience in trading, starting with American stock options in 1985 and trading Forex since 2005. Now I work for more than 25 years successfully as a technical consultant, since 1996 exclusively for the financial industry. The strategy is based upon profound knowledge of markets and technology in the development of a fully automated trading system. I have designed fully automated trading systems running successful on live accounts since 2007. The strategy is reviewed periodically to check the potential of improving the performance.

Natural Success Bundle
Start Date7 March 2011
Description:The Chart Time frame I use is: 30 minutes My strategy type is Trend The strategy bundle contains 3 trading program (EAs) with the following advantages: One strategy trades 5 successful signals given by the Ichimoku indicator on the 30 minutes time frame. The second strategy trades Fibonacci Levels with signals generated on a 1 hour time frame. The third strategy trades long term trend following signals defined by several indicators.
About the strategy developer: I have more than 20 years experience in trading, starting with American stock options in 1985 and trading Forex since 2005. Now I work for more than 25 years successfully as a technical consultant, since 1996 exclusively for the financial industry. The strategy is based upon profound knowledge of markets and technology in the development of a fully automated trading system. I have designed fully automated trading systems running successful on live accounts since 2007. The strategy is reviewed periodically to check the potential of improving the performance.
 

EWT 

Start Date: 28 April 2011
Description: We’re using 30 min intraday time frame, this is the minimum required for correctly evaluate trend and Elliott Wave count.
We professionally trade in the FOREX market, developing and offering trading system consulting from 1995. In our trading we use only mechanical trading and we test it on 10 years or more of history. EWT is the Lite version of other system called Elliott Wave Forex System, our old and reliable trading strategy, which used to be our flagship until recently. EWT is 100% mechanical trading system, based on Elliott, Gann and Fibonacci algorithms. We’re offering 6 strategies using the same trading algorithm.
Risk Management: The system is always in trade, this mean when Stop Loss and Target Profit are triggered, you can expect in few minutes to receive a new Signal.
All opened positions are using dynamic Stop Loss usualy not larger than 200-250 pips, restricting risk per trade as low than 3% of deposit. The Target Profit levels and as Stop Loss are always active, 100% dynamic and controlled automatically by trading strategy. Our advantaged: This "slow and steady" approach has enabled to continuously maintain low drawdown and consistency in the results.
We’re using 30 min intraday time frame, this is the minimum required for correctly evaluate trend and Elliott Wave count.
Strategy Type: Intraday and trend trading
Available Pairs: EUR/USD, GBP/USD, USD/CHF, EUR/CHF, EUR/JPY and USD/JPY. 


Taiyo

Start Date: 25 April 2011
Description: The strategy is combined from RSI, MA, Stochastic, Momentum and several custom made ones.
It Employ strict trading discipline.
This is a technical and fundamental strategy
The Strategy is constantly analyzed and improved. This is done at least once per week.
About the strategy developer: I’m 32 years old. I have bachelor’s degree in economics. I have around 7 years experience in Forex trading and for the last 5 years this has been my main source of income and my full time job.
My main advantages are Reliability and strict emotionless money management.


ThirdBrainFx

Start Date: 21 April 2011
Description: We use a part of the “Third Screen Strategy” Of Dr. Alexander Elder.
First, we see in a D1 chart what is the global trend with MACD indicator.
When we have it, we see in the H1 timeframe what are the opportunities to act in the same trend of D1 helped by the William Percentage Indicator.
When the position are opened we manage economic news and fundamental analysis to close the position if we think that the trend is about to reverse on a D1 chart.
We adjust the strategy with market behavior every month.
Risk management is simple and clear for us : max 5% of our equity must be risked to gain twice : 10%.
This is a Trend Strategy.
About the strategy developer: I am a 10y professional programmer who make forex robot since one year for my own account(s).  I was working for the greatest media company in Europe as head of development.


London call2

Start Date: 21 April 2011
Description: Indicators used : moving averages , bollinger bands , Fibonnacci
Risk management is driven by stop loss wich set to a maximum of 100pips (can be less,depending of markets conditions)
My strategy is designed to adapt to changing market conditions.There will be no modifications in the future.
Compared to another strategy London call 2 will adapt quickly to changing market conditions.It will perform very well if the volatility is high and will adapt to slow trend.It will generally have very good entry point in fast market(after data for example )and will be great to use for users that wants to close the position themself for a quick profit .The strategy is completely automated and will work 24/5.
About the strategy developer: I’m economic graduate , I trade for a living , I have 13 years of experience in the financial markets and Im a technical trader.


ReadySteadyGoFX

Start Date: 4 April 2011
Description: The strategy is based on the assumption that there are hours of low activity for each traded pair. Taking a certain multiple of the high and the low of such a period as a buy or sell limit often leads to significant successful trades. The position size, take profit and stop loss is calculated according to the recent market volatility to ensure a flexible risk and money management. All pairs should be traded together as a portfolio.
About the strategy developer: I am a professional web developer and trade the forex market since 5 years now. Starting with discretionary trading I moved to the development of automated trading after a while.
The strategy is diversified by the use of several currency pairs and offers the advantages of a portfolio.


Esope Collective Fund

Start Date: 31 March 2011
Description: The indicators i use for trading is an addendum of market pricing is used to determine the value of the currency. MY Max drawdown 5%. I'm a Technical and fundamental trader. I modify and adjust my strategy constantly to changes in the market behavior.
About the strategy developer: It’s now my 12th year in this industry. I worked for big name of the asset management industry. I’ve decided to work for my own account. You can take advantage of this experience via tradency.


X-TrendFollower

Start Date: 28 March 2011
Strategy's Description: The X-TrendFollower is an automatic day trading system that actively seeks for trend movement. It will look at different trading parameters, but majority on RSI to form a trading signal. 
The X-TrendFollower is aggressive on earning, while doing well in the risk management. It has a tight risk calculating system with an average SL of 50 pips and TL of 200 pips.
The system has been back tested for 5 years and being live for 3 years, the result is quite impressive with an average earning of 40 pips per winning trade.
Throughout live trading, the system will startup a self-learning mechanism, using artificial intelligence like Genetic Algorithm and Neural Network to self-tone itself, so that it can adapt any changes in the dynamic FX environment.
About the strategy developer: I have been working in the program trading team of a global investment bank for many years. Our team has developed many first-class algorithms based on technical and fundamental analysis.


Firemoon30M

Start Date: 16 March 2011
Description: I trade only EUR/USD with maximum position 1.
For trading signals using simple MA combined with several oscillator filter. I work with 1H 30M timeframe, as trade is opened only if both timeframe make signal in the same direction. I am technical trader.
Once a month do optimization of oscillators that use of filters.
The main advantage is that the system provides only one open position, which always has a fixed stop loss and take profit. As a result, each follower can choose MM, which meets their own criteria.
About the strategy developer: I am Bachelor of Accounting and Control. I work in the pension insurance company. With forex deal roughly four years.


IDfx

Start Date: 8 February 2011
Description: The Strategy is based on the following parameters: MA and MACD (Moving Average and Moving Average Convergence/divergence).    It calculates values of MA for all timeframes in values of trading instruments.    Then, formed input signal: if rank values in direction "for buy or sell" (for example: value of MAm1<value of MAm5 etc. till to value of MAmn or Mam1> Value of Mam5 etc. till to value of Mamn).    Take Profit: the trade range or correction.   *Possible transaction support: Trailing Profit or Trasiling Stop or both with value step.


MFSforex

Start Date: 6 February 2011
Description:I often entry my trade during asian time or European times during these market opening and close my trade before or before US markets opening. Multi Financial Solutions is a private investment firm specializing in a number of financial products and services. Our offer including foreign exchange, Equities, Warrents, ETFs, Derivatives, CFDs and International Trading.  I have a debt knowledge and experience over 15 years of portfolio construction and management, specialize in Equity. I also trade forex in the last 4-5 years for company and other financial institutionals.
Strategy Type: Ranges, Support and Resistance


Momentum

Start Date: 11 January 2011
Description: We are using very smart automated system which based on defensive stop loss and take profit,the system working on different kind of time frames that fits to the changes in the market situations,we are working on the majors crosses and we have a few systems which can fit to the differences between every trader or portfolio manager,we are working all the time to improve the systems and to get the optimum,the forex market contain a lot of opportunities to make money and we want every one of them.


SGFX

Start Date: 11 January 2011
Description: I have been trading for the past 4 years which includes the time that I spent to educate myself in fx trading. My strategy is simple, go with the trend of the daily bar. I look for swing setups after the daily candle closes. I do have the tools necessary to perform well – 5 monitor system and fast internet speed. I monitor about 12 currencies (which includes the majors and their crosses) and perform an analysis on the currencies every evening at 5pm EST. I choose the best daily setups and trade those pairs. I adhere to a strict risk management system. I refuse to get emotional about my trades no matter what the outcome. Keeping emotions at bay allows me to be successful. I also make note of the fundamental news releases for the trading session. This enables me to be prepared for news event risk and profit off of the potential move. As a trader, I like to take notes of my good trades and my bad ones and this process affords me the opportunity to see my strengths and recognize my weak areas. I believe that it is very hard to be consistently profitable without discipline in this industry and I have worked hard to be disciplined and to execute my strategy according to my rules at all times.


HBF PowerTrader

Start Date: 9 January 2011
Description: The HBforex Power Trader System works on the fact that pairs get overbought and over sold (RSI) within a long term trend or short term range. Thus, the HBforex  Power Trader system takes into account these factors along with other indicators and makes a decision to buy or sell on a particular pair depending on where the price of the pair has reach, I,e (psychological price, retracement, Fibonacci price or breakout price). However, the HBforex Power Trader system uses the exact same trading strategies found in the HBforex Power Trader EBook. The HBforex Power Trader system has several dedicated forex traders watching and studying chart formations 24/7 days of the week. Also The HBforex Power Trader system has a (Forex Model Office) EA that runs on a Metatrader platform which can predict the best sell and buy opportunities in the FOREX markets. This fact has enabled HBforex Traders to understand the FOREX markets to such a degree that HBforex traders are able to gleam on average 14.4 to 444.4 pips per trade / per pair on a consistence basis. The only difference between the HBforex conservative PIP Collector and the HBforex Aggressive PIP Collector is that the HBforex Power Trader has very conservative outlook when about to place a trade and goes strictly by the book, meaning the HBforex Power Trader makes trades by using the strategies that are taught in the HBforex Power Trader EBook. 


HBConPIPCollector

Start Date: 9 January 2011
Description: The HBforex conservative PIP Collector System works on the fact that pairs get overbought and over sold (RSI) within a long term trend or short term range. Thus, the HBforex Conservative PIP Collector System takes into account these factors along with other indicators and makes a decision to buy or sell on a particular pair depending on where the price of the pair has reach, I,e (psychological price, retracement, Fibonacci price or breakout price). The HBforex Conservative PIP Collector system has several dedicated forex traders watching and studying chart formations 24/7 days of the week. Also The HBforex Conservative PIP Collector (Forex Model Office) EA that runs on an Metatrader platform which can predict the best sell and buy opportunities in the FOREX markets. This fact has enabled HBforex Traders to understand the FOREX markets to such a degree that HBforex traders are able to gleam on average 14.4 to 444.4 pips per pair on a consistence basis. The only difference in the HBforex Conservative PIP Collector and the HBforex Aggressive PIP Collector, the HBforex Aggressive PIP Collector goes after more pips which mean more risk –vs- reward a ratio that may not fit the average Conservative savvy FOREX trader. Thus, if you looking to make some money in the FOREX markets with very little risk than the HBforex Conservative Pip Collector is the way to go.


HBAgrPIPCollector

Start Date: 9 January 2011
Description: The HBforex Aggressive PIP Collector System works on the fact that pairs get overbought and over sold (RSI) within a long term trend or short term range. Thus, the HBforex Aggressive PIP Collector system takes into account these factors along with other indicators and makes a decision to buy or sell on a particular pair depending on where the price of the pair has reach, I,e (psychological price, retracement, Fibonacci price or breakout price). The HBforex Aggressive PIP Collector system has several dedicated forex traders watching and studying chart formations 24/7 days of the week. Also The HBforex Aggressive PIP Collector (Forex Model Office) EA that runs on an Metatrader platform which can predict the best sell and buy opportunities in the FOREX markets. This fact has enabled HBforex Traders to understand the FOREX markets to such a degree that HBforex traders are able to gleam on average 14.4 to 444.4 pips per pair on a consistence basis. The difference between the HBforex conservative PIP Collector and the HBforex Aggressive PIP Collector is that the HBforex Aggressive PIP Collector goes after more pips which mean more risk – vs - reward ratio. However, the HBforex Aggressive Pip Collector will take in more pips per year. Simply put the HBforex Aggressive PIP Collector collects pips every time the charts line up.


3030 FX

Start Date: 6 January 2011
Description: This is a type of Forex trading that takes advantage of the natural back and forth motion of the market by placing orders above or below the current market price and "catching" profits as the market moves. I´m working as IT-architecht at Finland.  I started to develop my own automated system about one year ago. It took me 12 months. My goal was to make it as safe as possible, and indeed it is like that. This system has very low stoploss at-30 pips. It is safe to use!


(-)SysFX

Start Date: 4 January 2011
Description: This Strategy is based on Trend Following and use Hedge positions as well. Pending orders may be removed after 3-4 hours if it doesn't meet expectations. All my analysis are running on the H1 charts. In my on time i'm an advisor for an online company.


Bcm-S

Start Date: 28 December 2010
Description: This system is comprised of 6 strategies with a 10+ year back test. Take profit is varied. Not a martingale. The strategy is looking at the 1M, 15M and 1H time frame:  EURUSD - 1M, 15M, 1H  GBPUSD, GBPJPY - 15M  AUDJPY, USDJPY, USDCHF - 15M
Strategy Type: Long term strategy


Firemoon

Start Date: 22 December 2010
Description: This strategy is founded on a 10-year history. The aim is to catch the daily mood of the market for this core indicator on which the system is based on MA and several oscillator filter.
Time Frame: 30M and 1H


AttilaFX-7

Start Date: 17 December 2010
Description: ATTILA wait for a reversal trend signal given by MACD. When the signal is done, system will check if the mood of the CCI (commodity channel index) & the RSI (Relative Stengh Index) to choice between a  BUY signal or a SELL signal. When the choice of BUY/SELL signal is done, we check if this order is in the same trend of the pair during the day. If yes, we send the signal.


MATTrend

Start Date: 12 December 2010
Description: This strategy uses 3 trend follow technical indicators. There is no square. Max positions are 3 positions. This strategy aims profit by catching the action of trend actively. 
Available Pairs: USDJPY,EURUSD,EURJPY


Quantum

Start Date: 8 December 2010
Description: Trading is based on 15 years of full time trading covering various markets including Forex, Equities, Futures and Commodities. We utilize various indictors including all those herein mentioned. Strategy involves a number of proprietary indicators influenced by Elliot Wave, Inter-Market, Technical and yes even fundamental analysis.    Providers experience with Forex over the years covers not only retail, but also with wholesale trading system.  This strategy may work a currency pair shorter term to establish swing moves of a larger degree. The markets are always changing and this strategy will be flexible along with dynamic indicators. With the volatility in Forex we take on usually at least two positions at a time in different pairs as a net hedge. Stops and Limits are used on all positions. 


Ptrader

Start Date: 7 December 2010
Description: This strategy is Trend trading with technical indicators like RSI and MACD. It trades on the 5M and 1H chart.
Strategy type: Swing and Inntraday


Powerforex

Start Date: 5 December 2010
Description: The strategy uses the opportunities that present themselves in the form of daily highs and lows.  Jules Franklin has a MA degree from the University of Zurich and has studied the dynamics of market psychology very closely and developed several successful trading strategies. Franklin is engaged as a system developer and referring broker and has over 10 years of trading experience.


Hotei

Start Date: 25 November 2010
Description: The Hotei is a pair swing trade system that runs 24 hours.  It is a market neutral trading strategy enabling traders to profit from virtually any market conditions: uptrend, downtrend, or sideways movement.     We is small company that combines the talents and experience of seasoned traders and quantitative analysts.  Combined experience exceeds 30 years in the Futures, Forex and Equity markets. We are committed to providing superior strategies to our clients.


Ultimate2h

Start Date: 24 November 2010
Description: I trade in the Forex market since 1998. My Strategy overview the spot forex market 24 hours a day. GMT 04:00 / 19:00 is the time of entry into position and changes in levels of foot. 
Strategy Type: Trend/Breakout


Deliverance

Start Date: 8 November 2010
Description: My technical analysis makes use of resistance- and support levels during the range of the day, moving averages as well, well connected in the market-place. Furthermore forex-markets will be closely watched 24 a day by so called warning calls and signals.


Auto-EuroQuad

Start Date: 27 October 2010
Description: Auto-EuroQuad is a using a short term approach to trading the EURO/USD based on methods initially  developed by Auto Trading Systems for their own trading. It potentially can take up to four positions in one direction at times.  There are several different methods of both entering and exiting the market aiming to spread risk and opportunity rather than rely on just one individual reason to trade that may suit a broader range of market conditions.


Pompej

Start Date: 27 October 2010
Description: The strategy is based on usage of volatility expansion systems. It rund on the 1H chart,
Strategy type: Intraday and Trend.


OnTimeTrader

Start Date: 22 October 2010
Description: This strategy is based on the “wave” of London and New York open time. The two Expert Advisors opens trades on this time. When the market break out, we take 25-35 pips from. If the conditions of cci indicator say no, then we make no trade. Usualy there is a break even stop to 20 pips.
Strategy type: Trend/Daytrader


Geru Sells

Start Date: 20 October 2010
Description: Our company combines the talents and experience of seasoned traders and quantitative analysts.  Combined experience exceeds 30 years in the Futures, Forex and Equity markets. We are committed to providing superior strategies to our clients. The Geru is a trend following Swing Trade system that run 24 hours.


Agaru Sells

Start Date: 20 October 2010
Description: Our company is small company that combines the talents and experience of seasoned traders and quantitative analysts.  Combined experience exceeds 30 years in the Futures, Forex and Equity markets. We are committed to providing superior strategies to our clients. The Agaru is a trend following Swing Trade system that run 24 hours.


Seikou Sells

Start Date: 20 October 2010
Description: The Seikou is a trend following intraday system that runs from Asia’s open to NY’s closing. We are a small company that combines the talents and experience of seasoned traders and quantitative analysts. Combined experience exceeds 30 years in the Futures, Forex and Equity markets. We are committed to providing superior strategies to our clients.


Vennfx

Start Date: 18 October 2010
Description: This is a Swing strategy which follows a trend. All of our pairs are traded in the 4H time frame.


Impulse

Start Date: 17 October 2010
Description: This system is based on 1 EA’s where each one has been extensively evaluated and showed that can generate profitable results on the long run.  The system are continuously monitorized and if one starts to become too risky will be substituted for a more accurate one.  The signals are sent directly from my live account.  The positions have always stop limits, usually 100-150 pips. All systems included is the portfolio qre mostly intraday systems and trade only major currency pairs.


FX001

Start Date: 13 October 2010
Description: I have six years foreign exchange trading, I have rich experience of hedging transactions. I will be working basically on Technical analysis using indicators such as Macd, RSI, Bollinger Bands moving averages Elliot Waves and Fibonaci Lines. I Work on different strategies to make the best of my signals with the goal to increase and protect my clients assets. Take profit from 15 pips to 200 pips. My positions are always with stop limits, usually 100 pips. Normally 1 open positions in the same time, maximum 4.


108trend

Start Date: 7 October 2010
Description: We use MACD, RSI and Boolinger Bands as forex indicators and monitor dailyfx economic news. We use Tradency Strategy tester to test every system strategy. In this strategy we use 15 minutes chart. We trade last 3 years in forex market and our company work on multiple criteria optimization, science research in forex market. We use science approach in forex trading. 


Ken-Forex

Start Date: 6 October 2010
Description: Profitable day trading system with moderate risk. This system prefer many trades per working day with just a few pips win, rather than risky trades that stay open for long time. Our system utilizes a combination of factors and working more then 2 years. Our system utilizes a combination of factors.


Forextrend

Start Date: 28 September 2010
Description: This is a automated trend following system. It is a Intraday system which rund on a 5 min chart.


Robin Hood Fund

Start Date: 19 September 2010
Description: I have a master degree in Finance and I am trading Live accounts since 2004. I am following strategies based on statistically proven setups in majors. During the years I have tried a lot of systems. At present there are many EA's in my trader's toolbox and I use them to catch the tested setups on the charts. Optimizations are made every 2 weeks. Market is changing and we should stay sharp. Strategies are supervised and I decide which are suitable for the market conditions. Deals have adaptive stops and limits within average daily volatility.  Usually I try to catch over 20 pips and  I put stop loss at 150 pips maximum for secure reasons, I watch  PA (price action)  most of  the time and if necessary deals are closed before they hit stop or limit. I am using MM, but this do not mean Martingale - only smooth lot-size change. Different pairs and strategies diversify the risk and I risk from 3 to 6 % per trade. 


Rasm_Fx

Start Date: 15 September 2010
Description: My system based on 2 EA, each EA was tested in 12 years history, working together on EURUSD pair only but on different time frames and different strategy's: 1st based 2 indicators and also support and resistance lines. 2nd based 3 indicators.  Max around 2 trades in the same time, some times positions will be opening for more than one day. The strategy works with relatively medium leverage and medium risk.   
Strategy Type: Trend
Time Frame: Daily


Pipscollector

Start Date: 4 September 2010
Description: I am an experienced trader and analyst, who have shown a great performance in the area of trading and recommendation for 5 years now and like to have share discussions with new and more experienced traders then me.    According to me NEW TRADERS do most big mistake in trading ways for going 150pips to 200pips in single trade, it’s not good for retail trader according to my experience and experiments    First of all I am telling you my smart trading which I got taught by some of biggest forex merchant    First thing to know is – we should not go for 150pips to 200pips, being professional and retailing forex trader, we need to have small profits per day according to our investment because WE ARE NOT BANKS tradings for high profit WITH HIGH INVESTMENT AND STOP LOSS, what we should do is    Listen – if we could just benefit earning 80 to 100pips daily in this volatile market is best for us    For example – lets take small amount – if I am trading with USD500 200x and when market is getting volatile I just earn 100pips safely in single trade in a day no more then it will get profit of USD200, now if we continue working smart like that we will get, in 22 days of forex market in a month, USD4400 from USD500, ok consider 20 days we will get USD4000 from USD500 trading, if we trade with USD1000 we should earn more and so on… in month by trading smartly.  My trading system is a combination of inter market analysis, fundamentals,elloit wave and moving average in determining the entry and exit point. My biggest goal is to be recognized with big dudes in the forex world and create a brand that will be the solution to profit making.


FX Stable

Start Date: 3 September 2010
Description: This is a system that trades based on various technical indicators. These include bohlinger bands, schocastic indicators, moving averages and the CCI.


Quant-System-II

Start Date: 1 September 2010
Description: This strategy is automated trading system which trades during the Asian session. Trading is performed basing on the analysis of technical and fundamental situation. System stable, risk-adjusted returns, stop loss is targted to be low.
Strategy Type: Intraday
Time Frame: 1H


Auto-EuroRun DT

Start Date: 17 May, 2009
Description: Auto-EuroRun DT is a method traded by the developer Auto Trading Systems in their own accounts for the EURUSD aimed at taking advantage of strong trend runs that often occur within the day. It will close any trades before the close of the US trading day. The EURUSD pair generally has the highest liquidity and lowest spread.
Pairs in System: EURUSD


Auto-PoundRun DT

Start Date: 17 May, 2009
Description: Auto-Pound Run DT is a method from Auto Trading Systems for the GBPUSD aimed at taking advantage of strong trend runs that often occur within the day. It will close any trades before the close of the US trading day.
Pairs in System: GBPUSD
Trade frequency: 2-4 P/wk


Auto-EuroOne

Start Date: 17 May, 2009
Description: Auto-EuroOne  is a method traded by the developer Auto Trading Systems in their own accounts for the EURUSD and the underlying methodology  is  based on the well known  system Auto-CoreDuo  and is aimed at taking advantage of strong  short term moves  often occur within a day or two.  However, it is more conservative in that it will only take one trade per day and has a fairly low stop loss level but then will seek to carry the trade to seek to take advantage of a trend run that can see the profit many times the stop loss level The EURUSD pair generally has the highest liquidity and lowest spread.
Pairs in System: EURUSD
Trade frequency: 1-2/wk


Auto-Attack Euro

Start Date: 17 May, 2009
Description: Auto-Attack Euro is a method traded by the developer Auto Trading Systems in their own accounts for the EURUSD aimed at taking advantage of strong moves in any direction that often occur within the day and sometimes may trade in both directions within the same day. Sometimes its profit objective or stop loss level will be met within a day and at other times may carry it through to the next day seeking to full fill the trade’s potential. It does exclude some hours of the day to trade looking mainly at the European and American time zones where most of the activity usually occurs The EURUSD pair generally has the highest liquidity and lowest spread.
Pairs in System: EURUSD
Trade frequency: 3-6/wk


Auto-Thrust  DT

Start Date: 17 May, 2009
Description: Auto-Thrust  DT is a method traded by the developer Auto Trading Systems in their own accounts for the EURUSD aimed at taking advantage of strong thrusts in direction that often occur within the day. It will close any trades before the close of the US trading day. The EURUSD pair generally has the highest liquidity and lowest spread.
Pairs in System: EURUSD
Trade frequency: 1-3/wk


Auto-STS

Start Date: 17 May, 2009
Description: Auto-STS stands for short term swing is a method traded by the developer Auto Trading Systems in their own accounts for the EURUSD aimed at taking advantage of strong moves in any direction that often occur within the day and sometimes may trade in both directions within the same day. It does exclude some hours of the day to trade looking mainly at the European and American time zones where most of the activity usually occurs and may trade in and out within one day or carry over to the next at times. The EURUSD pair generally has the highest liquidity and lowest spread. 
Pairs in System: EURUSD
Trade frequency: 2-4/wk


Auto-Aggressor

Start Date: 17 May, 2009
Description: Auto-Aggressor  is a method traded by the developer Auto Trading Systems in their own accounts for the EURUSD aimed at taking advantage of strong moves in any direction that often occur within the day and sometimes may trade in both directions within the same day. It does exclude some hours of the day to trade looking mainly at the European and American time zones where most of the activity usually occurs The EURUSD pair generally has the highest liquidity and lowest spread.
Pairs in System: EURUSD
Trade frequency: 1-4/wk


Open-Sesame

Start Date: 14 May, 2009
Description: We are a team that running managed account business, we use self-developed indicator to trade, most of our trades are short term trades, in order to control the risk. You are welcomed to choose our systems, live or demo. We recommend you NOT to over leverage ever.


Active-Target-1

Start Date: 13 May, 2009
Description: Fully automated strategy. This strategy is an Expert Advisor which uses the Meta Trader platform.  A few details about our system: 
1) We can hold our positions for a few minutes up to a day or more, depened on the market's movment. 
2) We analysis the Daily, 4 Hour and execute the trades in the Hourly chart.  
3) We try to maximise the trades by using many exits instruments
Time frame: 1 Hour


A1776

Start Date: 6 May, 2009
Description: Most of my trades are trend following. Normally we would use the 15 mins K lines to generate the signals. 10% we would play mid and long term trades, they would be based on 4 hours K lines. Our way to generate the signals is very traditional and easy: make use of MACD’s golden and dead crosses, and the golden ratio as well. We think the easiest way is the best way.   Our stop loss would be placed at the key resistant or support level, it is very skillful is set up the stop loss. The reason we set stop loss for every trade is to avoid the unpredictable issues hurt our accounts in the 24 hour running market.   We are very traditional traders, which means we are good at analyzing the shapes of the K lines, especially the traditional shapes.  We may experience drawdown sometimes as well, the advice for clients who choose our system is: don’t over leverage.


Active Target 2

Start Date: 7 April 2009
Description: This strategy is an Expert Advisor which uses the Meta Trader platform. A few details about our system: 
1) We can hold our positions for a few minutes up to a few days, depened on the market's movment. 
2) We analysis the Daily, 4 Hour, 1 hour and execute the trades in the 15M chart to get the best results.  
3) We try to maximise the trades by using many exits instruments
Time frame: 15 M


Tianyixitong

Start Date: 7 April 2009
Description: 1. Analysis EUR/USD, GBP/USD and USD/JPY, NZD/USD find which currency is strong and which one is week. EUR? GBP? Or JPY?   2. Collocation the strongest currency and most week one. For example, The analysis result: EUR is the strongest current and JPY is weakest one, so we get the long position at EUR/JPY. 
Trade frequency: 10-20 per week


QuickShift

Start Date: 2 April 2009
Description: QuickShift tries to access the overall stance of the market over the last 24 hours and position itself according.  With a mix of predictive and reactionary modules, QuickShift tries to position itself for the price action that might occur during the next 24 hour period.
Trade frequency: 50 Per Week
Time frame *for each pair: 60 min
Pairs in System: AUDJPY, CADJPY, CHFJPY, EURCAD, EURGBP, EURJPY, EURUSD, GBPCHF, GBPJPY, GBPUSD, NZDUSD, USDCAD, USDCHF, USDJPY


Tactico

Start Date: 31 March, 2009
Description: Tactico is assembled by a team of skilled traders led by a veteran trader with more than 25 years of experience in the financial markets.  This Experience consists of managing trading desks in foreign exchange and stock markets, hedging and managing institutional portfolios, conducting advanced workshops for experienced and novice traders as well as private investing and trading.  Tactico's unique trading style is based upon classical trading theories, trader's psychology and proprietary models developed throughout the past years and renovated continuously.


ImpulseTrading

Start Date: 26 March, 2009
Description: Trading on the momentum of the euro, which are calculated from the movement of other currency pairs. In trade used trend movement and corrective movements of the strong market levels. Take-profit points are accurately generated by the strength of the trend and can adjust according to shifts in the market.
Trade frequency: 30 P/W 
Time frame:
5M


SimpleMedium

Start Date: 26 March, 2009
Description: Advisor uses a line of balance and equidistant from the channel length. Orders are opened from the edges of the channel in the direction of short-term trend. The system Trade on the basis of the line interval balance.
Trade frequency: 5 P/W 
Time frame: 5M
Pairs in System: GBPUSD


OneFX-Signal-Samari

Start Date: 10 March, 2009
Description: This EA uses a complex series of timeframe confirmations woven with principles of Fibonacci and Gann to determine the direction of a trend.  Take-profit points are accurately generated by the strength of the trend and can adjust according to shifts in the market.


Auto-Action FX

Start Date: 5 March, 2009
Description: This system developer by Auto Trading Systems is also traded in their own live accounts and may at times take up to four positions using different entry points. It is aiming to take advantage of the shorter term moves that often occur and will typically get in and out of trades within the day or by the next and will trade several times a week typically however it may at times have a few days without trades if conditions do not suit.
Pairs in System: EURUSD
Trade frequency: approx 10 p/w


Auto-Action FX

Start Date: 5 March, 2009
Description: This system developer by Auto Trading Systems is also traded in their own live accounts and may at times take up to four positions using different entry points. It is aiming to take advantage of the shorter term moves that often occur and will typically get in and out of trades within the day or by the next and will trade several times a week typically however it may at times have a few days without trades if conditions do not suit.


AIMFX-Saturn

Start Date: 5 March, 2009
Description: We will generate the signal from several strategies to find the trading signal by different Pairs.  These strategies include Swing & Intraday strategy. Then , Intraday strategy portion is 75% and Swing strategy is 25%.
Time frame: 1H 


AIMFX-Glory

Start Date: 5 March, 2009
Description: Due to the characters of forex like continuity and uncertainty, this strategy use daily signals. Entry and exit are according K line charts. Reasonable stoploss would be placed.
Time frame: One hour chart


HBforex

Start Date: 2 March, 2009
Description: The system trades the top of a ranging pair and the bottom of a ranging pair. The system works on the fact that most of the time pairs are in Range mode, simply put pairs don't move 1000 points every day they move in 100 to 200 pips swings within a Range of movement most of the time. Thus, the system will 89% of the time predict this 100 to 200  pip movement and take advantage of this fact and harvest pips plain and simple.
Pairs in System: EURAUD, EURCAD, EURCHF, EURJPY, EURUSD, GBPAUD, GBPCHF, GBPJPY, GBPUSD, USDCAD, USDCHF, USDJPY, EURGBP, AUDCAD
Trade frequency: 3-4 P/W


Vipsig-China

Start Date: 12 February, 2009
Description: Our signals are generated by the “space energy trading system” which was developed in 2004 by the Chinese famous forex expert called Yu Bo. This system could calculate the forex market by space and time, in order to figure out the essential trend of the market. At the same time, this system is good at judging the money flow as well, which makes us most of time stay on the safe area, and create profit.
Pairs in System: AUDUSD, EURAUD, EURCAD, EURCHF, EURGBP, EURJPY, EURUSD, GBPAUD, GBPCAD, GBPCHF, GBPJPY, GBPUSD, NZDUSD, USDCAD, USDCHF, USDJPY
Trade frequency:  10-20 p/w


RAIDERFXPRO

Start Date: 12 February, 2009
Description: The RaiderFX System is an intraday trading system. RaiderFX was developed to look for short term intraday trade. When it has the highest probability of winning, it will execute trades accordingly. RaiderFX works perfectly for 3 pairs which is the EURUSD, GBPUSD and USDJPY. The system trades from Sunday through Friday and enters trades based on our proprietary signals. RaiderFX is an automated system which is 100% based on technical analysis. RaiderFX utilizes the following strategies, which includes trend lines, price movement action, Stochastics, and MACD.
Pairs in System: EURUSD, GBPUSD, USDJPY
Trade frequency:  8-10 p/m for EURUSD, 8-10 p/m for GBPUSD, 3-5 p/w for the USDJPY


USDCAD-Mover

Start Date: 28 January, 2009
Description: 12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analisis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out. The strategy is  80% swing tades, 20% daytrading.
Pairs in System: USDCAD    


FXTradingPro Short Term

Start Date: 21 January, 2009
Description: The FXTradingPro Short Term System uses a similar strategy developed for the longer term system "FXTradingPro".  Like "FXTradingPro" the FXTradingPro short term system was developed to look for and trade short term trends within a long term trend.  The FXTRadingPro Short Term system currently is approved for trading the Euro / US Dollar Cross ( EURUSD ) and the British Pound / US Dollar Cross (GBPUSD ). The system trades Sunday through Friday and enters trades based on our proprietary signals. FXTradingPro Short Term utilizes an automated system to trade which focuses on technical analysis of the Forex markets as the primary determinant for its trading strategy. FXTradingPro Short Term utilizes the following strategies, including but not limited to: moving averages, trend lines, projected price targets, as well as divergences in price, and CCI. More currency pairs are under consideration for release.
Pairs in System: EURUSD, GBPUSD    
Trade frequency:  8-10 p/w for EURUSD and 3-5 p/w for the GBPUSD


WaveRider

Start Date: 10 January, 2009
Description: The system tries to find the latest move by employing systems in different time frames. The longer time frames encapsulate the longer term out of the currency while two more time frames look at more of a medium and short term outlook.  By combining all three time frames in the strategy, it should have a better overall view of the market and be able to react quickly to market changes as keeping the longer term perspective in mind.
Trade frequency: 10 per week
Time frame *for each pair: 1 Hour


FxTradingPro

Start Date: 5 January, 2009
Description: The highly rated FXTradingPro System was developed to look for and trade trends. The FXTRadingPro system currently is approved for trading the Euro/US Dollar Cross (EURUSD) and the British Pound/US Dollar Cross (GBPUSD). The system trades Sunday through Friday and enters trades based on our proprietary signals. FXTradingPro utilizes an automated system to trade which focuses on technical analysis of the Forex markets as the primary determinant for its trading strategy. FXTradingPro utilizes the following strategies, including but not limited to: moving averages, trend lines, projected price targets, as well as divergences in price, and CCI. More currency pairs are under consideration for release.
Pairs in System: EURUSD,GBPUSD          
Trade frequency: 1-2 per week


RoadRunner

Start Date: 4 January, 2009
Description: Roadrunner is a strategy that looks at the speed in which market sentiment is changing.  If the sentiment of the market seems to be shifting towards a certain direction, it will try to capture the current momentum of the market.
Time frame: *for each pair: 60 min
Trade frequency: 6 per week


AIMFX-Income

Start Date: 24 December, 2008
Description: The signals of this system are generated by making use of the unbalance of the pairs of "EURUSD GBPUSD EURGBP", "EURUSD USDJPY EURJPY", "GBPUSD USDJPY GBPJPY" which would offer us space to gain profit at very low risk. People who choose this system should only choose the 3 porfoliors mentioned above.
Time frame: *for each pair: 1HR


CoolTrader

Start Date: 23 December, 2008
Description: CoolTrader trading system is a fully automated strategy-driven trading unit! Fundamentals, human emotions and human logic are totally excluded. It uses pure technical analysis including indicators such as Bollinger band and MovingAvarages. The strategy is designed to trade break-outs in the direction aligned with the current trend.  The innovation is the following: The trading strategy determines proper support and resistance levels, where the price is likely to turn around or break out. Implement it wisely! It does not perform effectively in sideway trends, but this is not a major issue for the long-run.


SharpPoint

Start Date: 23 December, 2008
Description: Our team was established in 2001, at the moment we have 4 chief analyzers incharging our signals selling and accounts anagement. Our trading mainly rely on the traditional financial analyze tool of Bollinger Bands. It is very skillful to make use of this great tool, for example, you could hardly tell where the market would go  when the price touches the middle line in the bands, to us, it is more clear because we would make use of another traditional tool of MACD lines, which would help us better judge the Bollinger Bands. Clients who choose this system should not be over leverage, we may experience drawdown sometimes.


Never-Greedy

Start Date: 14 December, 2008
Description:  We have 15 years experience in financial market since 1996, focus on Stocks, Commodity Futures and Forex. Our forex trading team which includes 6 men is divided into two groups, 8:00 am- 12:00 am the next day is our trading time. Our analysts who generate the signals are separated from our signal executors, we think it is the only way for us to overcome the obstacles like weak mentality in forex market. Like our system name, Never be Greedy is the only way to survive from the bloody forex market in long term. Every month, we will stop trading if our managed accounts gain 10% profit or lose 20% balance, until the next new month arrives. Our strategy is trend following plus reverse and Daytrader. We use the daily MACD to judge the general direction, and we decide the exact position, entry price, stoploss and take prifit by the short term chart like one hour chart. Our trades base on technical analysis, and also we would look at the important data like NFP.


EURCAD-Mover

Start Date: 1 December, 2008
Description:  12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analysis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.
Pairs in System: EURCAD
Trade frequency: 50-80 trades per month


OneFx

Start Date: 30 November, 2008
Description: This EA uses a complex series of timeframe confirmations woven with principles of Fibonacci and Gann to determine the direction of a trend.  Take-profit points are accurately generated by the strength of the trend and can adjust according to shifts in the market.
Pairs in System: EURUSD, GBPUSD, USDCHF, USDJPY, USDCAD, AUDUSD, EURGBP, EURCHF, EURJPY, GBPJPY
Trade frequency: 15-20 Avg. Per Pair/Month


GBPUSD-Mover

Start Date: 26 November, 2008
Description:  12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analysis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out. The system can open and maintain 4 positions at once.
Pairs in System: GBPUSD   
Trade frequency:
50-80 trades per month


UFOREX

Start Date: 24 November, 2008
Description: Time frame: 5 min bar. Trend and Reversal trade. Swing. The trade system estimates appropriate entry points by using auto regression models, where the coefficients are dynamically determined and varied based on the observation of the past data. As a result, the trade system can yield a steady performance and well adapt itself to the change of market environment, e.g., to the change of the volatility.  All of copy right for UFOREX belongs to Indepa Inc. Indepa is only one signal provider in Japan.
Trade frequency: 14 trades per month


IntelliForeX_IntraDay_SE

Start Date: 24 December, 2008
Description: IntelliForex IntraDay SE  is a hybrid (discretionary-mechanical) currency trading system. Entry levels and market directions are defined by experienced trader; proprietary quantitative algorithm monitors the market and performs exits. Set of pre-defined exit strategies being used. Such hybrid approach waives human psychology effects, increases the profitability of winning trades and minimizes loss for loosing ones. This results in significantly improved performance and minimized draw-downs by approximately 2 times vs. discretionary exits performed by the trader.
Time frame: 1HR
Pairs in System: EURUSD, GBPUSD, USD/CHF.          
Trade frequency: 10-20 per week


SHCL-Haowaihui

Start Date: 14 November, 2008
Description: I will use technical analysis and Fundamental analysis to generate the signals. To follow the trend and pursue the maximum profit and minimum loss. My strategy is dynamic. I will change the enter price, stop loss and take profit recently which depends on the market trend. And my strategy’s major trading pair is EURUSD.   
Pairs In System: EURUSD GBPUSD USDJPY EURJPY GBPJPY
Trade Frequency: 10-20 p/w


ElliotWave

Start Date: 5 November, 2008
Description: Time frame: Daily  Trend or Reversal trader: Trend  Pip pointing resistance and support levels using elliot wave theory.
Trade frequency: 5 trades p/w 


Mini_Sells

Start Date: 29 October, 2008
Description: Quants Strategies are developed for proprietary portfolio trading to facilitate auto execution for forex markets. The strategies involve the use of technical analysis to discern price patterns and market direction. These proprietary signals are entirely automated trading systems driven by quantitative mathematical algorithms generated within Tradestation 8. Patterns: where the daily chart is supported by favorable weekly or monthly charts, which may then give rise not only to a better chance of success but also to a better risk/reward profile, due to the potential of a more significant price move. All markets fluctuate and Quants attempt to minimize draw-downs by combining proper portfolio implementation of the strategies with automated trade execution.  


TidalWave

Start Date: 7 October, 2008
Description: Tidal Wave looks at the at the each of the individual currency pairs under three different time frames to try to gauge the best overall view of the momentum of the currency. The three times frames give it a view of the short term, medium term and long term view of the market. The use of the three time frames gives the system an overall balanced view on the currency that should bring it some stability over the long run. The system will typically do well in times of defined trend or volatile ranges.    
Pairs In System:  AUDJPY, AUDUSD, CADJPY, CHFJPY, EURCAD, EURCHF, EURGBP, EURJPY, EURUSD, GBPCHF, GBPJPY, GBPUSD, NZDJPY, NZDUSD, USDCAD, USDCHF, USDJPY


BreadWinner

Start Date: 7 October, 2008
Description: This is a price based system that detects market break outs with market sentiment as a confirming filter. It is traded on hourly charts of most of the major crosses plus a couple of typically volatile pairs such as GBPJPY and EURJPY. The program typically holds trades for a short to medium term. It is expected to be the most profitable when volatility is high in the market.


TrendEscape

Start Date: 7 October, 2008
Description: This system tries to capture the most from trending environments.  It will try to predict the beginning of a trend based on a number of different variables.  Once in a trend, it will try to lock in profits to try to escape the usual give back that happens towards the end of all trends.  The lock in points will move depending on market conditions,  most notably volatility.  The system should do well in trending markets and should not do well in tight ranges.


AVATAR

Start Date: 5 October, 2008
Description:  AVATAR is a short term forex trading system but focus on long term success. The key insight of this system is based on chart pattern recognition to trigger entry signals.  The exit signals are triggered based on the Profit Protection Matrix. The AVATAR theory cab be applied on any currency pairs in any time frames. We trade it in 1 hr time frame and with about 80 to 150 pips stop loss and no preset profit targets.
Pairs in System: NZDUSD, GBPJPY,  AUDCHF, AUDNZD, EURNZD, AUDCAD, USDCAD, NZDJPY, GBPAUD, CHFJPY, EURCAD, USDJPY, EURCHF, GBPCHF, AUDUSD, EURUSD, EURGBP, GBPUSD, UCHFSD, ERUJPY, CADJPY, AUDJPY, EURAUD
Trade Frequency: Approximately 300 p/m (including all pairs)


Mini_Buys

Start Date: 2 October, 2008
Description: Quants Strategies are developed for proprietary portfolio trading to facilitate auto execution for forex markets. The strategies involve the use of technical analysis to discern price patterns and market direction. These proprietary signals are entirely automated trading systems driven by quantitative mathematical algorithms generated within Tradestation 8. Patterns: where the daily chart is supported by favorable weekly or monthly charts, which may then give rise not only to a better chance of success but also to a better risk/reward profile, due to the potential of a more significant price move. All markets fluctuate and Quants attempt to minimize draw-downs by combining proper portfolio implementation of the strategies with automated trade execution.    


AEQUILIBRIUM-FX

Start Date: 2 October, 2008
Description:  This revolutionnary system analyze 8 time frames simultaneously to determine  the market direction in the next future . Additionally the system analyze volatility on each pair and crosses (for example, a trade on GBPUSD is the result of gbpusd + gbpjpy + usdjpy + eurgbp + eurjpy system's analysis) to determine if there is enough volatility to place a trade in the direction of  the primary trend or against the primary trend. There are 15 to 60 trades per week ,depending on market conditions and volatility on each pair.Typically the system will perform very well in volatil markets (trend or range with a lot of volatility) and will perform poorly in quiet markets (a slow uptrend with no retracements for example ). The system has been designed by a 12 years experienced trader.


MrEuro

Start Date: 29 September, 2008
Description: I start the experience of stock, forex, gold, future market 8 years ago. At the moment, I am the chief strategist and investment advisor of Dingsheng Investment ltd, Bangzhong Investment ltd in the city of Shunde which is the richest hometown in China.  Technical analysis is my main way to trade.   
Pairs In System: GBPUSD, EURUSD     
Trade Frequency: 10-20 p/w


*IntelliForex-F1

Start Date: 25 September, 2008
Description:  IntelliForex-F1 is an aggressive, fully automated trading strategy powered by state-of-the-art genetic algorithm. System currently trades two low-spread currency pairs: USD/JPY and EUR/CHF. System analyses the tick dataflow and uses adaptive (genetic) pattern recognition algorithm to generate trading decisions. A special tunable built-in money management block allows to control risks and to optimize profit depending on market situation and currently opened positions.
The system can open and maintain few positions at once.   
Pairs in System: USDJPY, EURCHF
Trade Frequency: up to 100 p/d


AIM-FX

Start Date: 25 September, 2008
Description: Time frame *for each pair: 1HR, Trend trader. Our signals are based on the price fluctuations at different trading hours of several financial centers in the world, for instance New York, London and Tokyo. The trading signals developed by our company can accurately predict the direction after 00:00 London time.


Ksignals

Start Date: 22 September, 2008
Description: This is a swing trading strategy (mid to long term). Signals are a combination of technical and fundamental analysis. Trades last between 1day to several weeks for maximum profitability. Trade signals are the same used in our live accounts. Our system uses wide stops. We recommend low leverage (recommended lot size 10k for each $2000 with 100/1 account leverage).
Pairs In System: AUDJPY, AUDUSD, CHFJPY, EURJPY, EURUSD, GBPJPY, GBPUSD, NZDUSD, USDCAD, USDCHF, USDJPY
Trade Frequency: 1-3 p/w  


*AlmaTrader

Start Date: 23 September, 2008
Description: AlmaTrader is a short term strategy which is based on technical  analysis of USD, GBP, EUR, AUD, JPY, CHF indexes and some trading pairs of these currencies. Our style to analyze the market has its own priorities:   1) The strength of an old or the power of  a new Trend (Pivot Points) after receiving the signal.   2.) How far the current price is from the Moving Average after receiving the signal (MA Period: 11-HIGH / mostly for short, and  11-LOW / mostly for long positions. Time Frames: H1, H4) The closer the price to its MA the better opportunity to trade with Less Risk.   3) Signals.   4) Time. We trade 6-18 GMT. But we don’t open any new trades at the end of the day. We carry the trading off well till 18 GMT.   
Pairs in system: AUDCAD, AUDCHF, AUDJPY, AUDNZD, AUDUSD, GBPJPY, GBPUSD, NZDUSD, NZDJPY, USDCAD, CADJPY, CHFJPY, EURAUD, USDCHF, EURJPY, EURNZD, EURCAD, EURCHF, EURGBP, EURUSD, GBPAUD, GBPCHF, USDJPY.
Trade Frequency: 0-12 p/w for all currencies.


Izaklab

Start Date: 10 September, 2008
Description: Time frame: 1 hour Trend or Reversal trader: Trend Swing / Intraday / Daytrader: Swing - Izaklab is a trend following system. It is different from other systems on the market in the following characteristics:  1. Creative algorithms.  2. No curve fitting.  3. Profit Protection Matrix can potentially help clients to prevent from profit to loss.  4. Shield module can potentially help clients to exit from the unreasonable fluctuate market condition. Our goal is to help clients to minimize the risk and get stable profit in FOREX market.
Trade frequency: 5 trades per week for each pair


AUDCHF-Mover

Start Date: 2 September, 2008
Description: 12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analisis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.  
Pairs in System: AUDCHF 


CADJPY-Mover

Start Date: 29 August, 2008
Description:  long term trading systems (or Swing trades). Our systems are based on technical factors (overbought/oversold), but much more on market timing. For us, Forex is an investment, not only a speculation. Sometimes we held positions for several weeks. Normally we use wide stoploss-limits, so we recommend a low leverage.


CHFJPY-Mover

Start Date: 29 August, 2008
Description:  12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analysis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.
Pairs in System: CHFJPY
Trade frequency: 50-80 trades per month


NZDJPY-Mover

Start Date: 29 August, 2008
Description:  12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analysis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.  
Pairs in System: NZDJPY
Trade frequency: 50-80 trades per month


GBPCHF-Mover

Start Date: 7 July 2008
Description: 12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analisis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.


DBSwing

Start Date: 19 June, 2008
Description: DBSwing system trades EURUSD pair in 1H timeframe. It uses daily support and resistance levels only, no indicators. Positions can be held for several days. DBSwing helds 1 open position simultaneously. Time frame: 1 hour  Trend or Reversal trader: reversal  Swing / Intraday / Daytrader: swing    DBSwing system trades EURUSD pair in 1H timeframe. It uses daily support and resistance levels only, no indicators. Positions can be held for several days. DBSwing helds 1 open position simultaneously.
Trade Frequency: 2-3 per week


DBIntraday

Start Date: 19 June, 2008
Description: Time frame:1 hour  Trend or Reversal trader: reversal  Swing / Intraday / Daytrader: intraday  DBIntraday system trades EURUSD pair in 1H timeframe. It uses daily support and resistance levels only, no indicators. Positions can be held for 1-2 days. DBIntraday helds 1 open position simultaneously.
Trade Frequency: 3-4 per week


FXStrategist

Start Date: 23 May 2008
Description: The system combines of traditional technical analysis, auto trading indicator, probability analysis, Waves Theory and economic data. And still my system is related to Chaos Theory, Theory of time and space, knowledge of special numbers and the Chinese traditional Taiji Eight Diagrams Theory.


NZDUSD-Mover

Start Date: 27 February, 2008
Description: long term trading systems (or Swing trades). Our systems are based on technical factors (overbought/oversold), but much more on market timing. For us, Forex is an investment, not only a speculation. Sometimes we held positions for several weeks. Normally we use wide stoploss-limits, so we recommend a low leverage.    
Pairs in System: NZDUSD 


Pipsopolis

Start Date: 5 February, 2008
Description:  This is a discretionary system works mostly on 1H time frame based on my years of experience in the markets. The system is based on price action and technical analysis. Most of the signals come in Euro session. I normally do not risk more than 2% of the account. The Money Management technique used here is the result of my years of research in this field and should be followed accurately.     
Pairs in System: EURUSD, USDCHF, USDJPY, GBPUSD, GBPJPY, EURJPY, AUDUSD, GBPCHF, NZDUSD, EURGBP, EURCHF   
Trade Frequency: 5-8 trade per week 


CurrencyTradingAdvisory

Start Date: 22 January, 2008
Description: Currency trading advisory is based on technical and fundamental information in the markets Trades are implemented by experienced traders (30 years) with years of trading with prime name banks, trading is from sunday evening opening till friday evening close in new york Currency trading advisory looks at economic reports, sentiment in the markets and technical points like resistance points, support levels, moving  averages, risk/reward situations etc. Maximum loss on any position is 300 pips and take profit orders are brought into the trading system, all of this makes it a flexible provider to work with. The system can open and maintain 4-6 positions at once.


PipSniper

Start Date: 7 January, 2008
Description: This system blends both range and volatility scenarios identifying channels within which to adapt each strategy type. Both volatility and range models use the edges of these various channels to identify entry and exit points. The two systems look to balance each other out aiming to lower the volatility that either system individually would experience.
Pairs In System: AUDCAD, AUDJPY, AUDUSD, CADJPY, CHFJPY, EURAUD, EURCAD, EURCHF, EURGBP,EURJPY, EURUSD, GBPAUD, GBPCHF, GBPJPY, GBPUSD, NZDJPY, NZDUSD, USDCAD, USDCHF, USDJPY      
Trade Frequency: 7-8 p/w


BreakoutMaster

Start Date: 4 January, 2008
Description: Market breakouts during volatile times create some of the best situations in which profit can be  earned swiftly. It is important to also note, however, that these volatile environments do mean risk is higher. Exits vary according to each situation in an attempt to maximise.
Pairs in System: AUDCAD, AUDJPY, AUDUSD, CADJPY, CHFJPY, EURAUD, EURCAD, EURCHF, EURGBP, EURJPY, EURUSD, GBPAUD, GBPCHF, GBPJPY, GBPUSD, NZDJPY, NZDUSD, USDCAD, USDCHF, USDJPY
Trade Frequency: 5-6 p/w


PipRancher

Start Date: 2 January, 2008
Description: The objective of this system is to capitalize within a trending environment by analyzing market momentum, direction as well as trading activity with a view towards a long term investment period. However, during market breakout scenarios this system will seek to complement the long term perspective by capturing such short term pricing action in an effort to present a balanced trading approach.    
Pairs In System: AUDJPY, AUDUSD, CHFJPY, EURCHF, EURGBP, EURJPY, EURUSD, GBPCHF, GBPJPY, GBPUSD, NZDUSD, USDCAD, USDCHF, USDJPY      
Trade Frequency: 5-6 p/w


CurrencyRider

Start Date: 2 January, 2008
Description: With a medium term approach to investment this system seeks to capitalize on both trending and ranging environments. It looks to identify and gauge market momentum for optimal entry and exits on its trend-focused strategy, while seeking to exploit medium-term ranging environmental opportunities based on over-bought and over-sold regions.
Pairs in System: AUDJPY, AUDUSD, CADJPY, CHFJPY, EURCAD, EURCHF, EURGBP, EURJPY, EURUSD, GBPCHF, GBPJPY, GBPUSD, NZDJPY, NZDUSD, USDCAD, USDJPY, USDCHF
Trade Frequency: 3-4 p/w


InsiderBreakout

Start Date: 2 January, 2008
Description: The fundamentals underlying this system are to capitalize during pricing breakouts situations be they swift or sustained.  Positions have a number of levels of logic built in, aiming to extract the most value out of each trade through the use of multiple exit parameters. The system conducts analyses on various datasets to determine high probability breakout scenarios. Suited to more active market environments, and would experience draw downs during low volatility times.


RangeBreak

Start Date: 2 January, 2008
Description: RangeBreak primarily focuses on identifying and trading ranging environments. It trades by identifying intraday opportunities when a pair is likely to revert. A smaller sub-system looks to take quick profits in the market if there is a quick movement in either direction in an attempt to both boost the results of the ranging system if entering in the same direction and protecting it if the market moves quickly against it.
Pairs In System:  UDJPY, AUDUSD, CHFJPY, EURCAD, EURAUD, EURCHF, EURGBP, EURJPY, EURUSD, GBPCHF, GBPJPY, GBPUSD, NZDUSD, USDCAD, USDCHF, USDJPY, CADJPY, NZDJPY
Trade Frequency:  4-5 p/w


USDCHF-Mover

Start Date: 30 October, 2007
Description: long term trading systems (or Swing trades). Our systems are based on technical factors (overbought/oversold), but much more on market timing. For us, Forex is an investment, not only a speculation. Sometimes we held positions for several weeks. Normally we use wide stoploss-limits, so we recommend a low leverage.  
Pairs in System: USDCHF 
Trade Frequency: 3-4 p/w


EURJPY-Mover

Start Date: 30 October 2007
Description: 12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analisis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.


USDJPY-Mover

Start Date: 29 October, 2007
Description:  long term trading systems (or Swing trades). Our systems are based on technical factors (overbought/oversold), but much more on market timing. For us, Forex is an investment, not only a speculation. Sometimes we held positions for several weeks. Normally we use wide stoploss-limits, so we recommend a low leverage.    
Pairs in System: USDJPY 


AUDUSD-Mover

Start Date: 29 October, 2007
Description:  long term trading systems (or Swing trades). Our systems are based on technical factors (overbought/oversold), but much more on market timing. For us, Forex is an investment, not only a speculation. Sometimes we held positions for several weeks. Normally we use wide stoploss-limits, so we recommend a low leverage.  
Pairs in System: AUDUSD 
Trade Frequency: 3-4 p/w  


EURUSD-Mover

Start Date: 29 October 2007
Description: 12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analisis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.
Pairs in System: EURUSD 


WealthBuildersFX-Foxtrot

Start Date: 21 September, 2007
Description: WealthBuildersFX's Foxtrot system trades the GBP/USD Sunday through Friday and enters trades based on our proprietary signals. Wealth Builders FX utilizes an automated system to trade which focuses on technical analysis of the Forex markets as the primary determinant for its trading strategy. WBFX utilizes the following strategies, including but not limited to: moving averages, trend lines, projected price targets, as well as divergences in price, CCI and MACD. We have an initial stop loss of approximately 100 pips (depending on entry) which may be moved in order to lock in profit (reduce risks) as the trade moves in our favor.


WealthBuildersFx_Striker

Start Date: 11 September, 2007
Description: WealthBuildersFX's Striker system trades the GBP/USD Sunday through Friday and enters trades based on our proprietary signals. Wealth Builders FX utilizes an automated system to trade which focuses on technical analysis of the Forex markets as the primary determinant for its trading strategy. WBFX utilizes the following strategies, including but not limited to: moving averages, trend lines, projected price targets, as well as divergences in price, CCI and MACD. We have an initial stop loss of approximately 100 pips (depending on entry) which may be moved in order to lock in profit (reduce risks) as the trade moves in our favor.       


SniperFX

Start Date: 18 April, 2007
Description: This revolutionnary system analyze 8 time frames simultaneously to determine  the market direction in the next future .Additionally the system analyze volatility on each pair and crosses ( for example , a trade on GBPUSD is the result of gbpusd+gbpjpy+usdjpy+eurgbp+eurjpy system's analysis ) to determine if there is enough volatility to place a trade in the direction of  the primary trend or against the primary trend . There are 15 to 60 trades per week ,depending on market conditions and volatility on each pair. Typically the system will perform very well in volatil markets ( trend or range with a lot of volatility ) and will perform poorly in quiet markets ( a slow uptrend with no retracements for example ). There is no average take profit because the system can catch a large trade with a breakout for example .The system has been designed by a 12 years experienced trader.


AUDCAD-Mover

Start Date: 16 March, 2007
Description:  long term trading systems (or Swing trades). Our systems are based on technical factors (overbought/oversold), but much more on market timing. For us, Forex is an investment, not only a speculation. Sometimes we held positions for several weeks. Normally we use wide stoploss-limits, so we recommend a low leverage.    
Pairs in System: AUDCAD


AUDJPY-Mover

Start Date: 15 March, 2007
Description:  long term trading systems (or Swing trades). Our systems are based on technical factors (overbought/oversold), but much more on market timing. For us, Forex is an investment, not only a speculation. Sometimes we held positions for several weeks. Normally we use wide stoploss-limits, so we recommend a low leverage.
Pairs in System: AUDJPY 


EURGBP-Mover

Start Date: 8 December, 2006
Description: 12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analisis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.
Pairs in System: EURGBP   


EURCHF-Mover

Start Date: 5 December, 2006
Description: 12 years experience of investment banking, 4 years trading forex, our strategy is based on a mix of technical and fundamental analisis, we adapt constantly our system, so we can make profits both under Range-market-conditions and when the market is breaking-out.