# FxMath_Free(2016)_1979402797_GBPUSD(H1)Pair: GBPUSDTimeFrame: H1Price: Free

## Total net profit: 3613.67 Maximal drawdown: 755.08 (6.02%) Profit trades (% of total): 139 (41.99%)

Strategy Details:

Long(Buy) = ((CCI(8) Crosses Above Stoch(17, 5, 9)) And ((CCI(57) Crosses Above Stoch(23, 13, 15)) And (((ADX_DIPLUS(13) > ADX_DIPLUS(81)) Or (EMA(73) > EMA(78))) Or ((CCI(57) Crosses Above StochSignal(14, 3, 3)) And ((ADX_DIPLUS(13) Crosses Above ADX_DIPLUS(88)) And (ADX_DIPLUS(13) > ADX_DIPLUS(68)))))))
Short(Sell) = ((CCI(8) Crosses Below Stoch(17, 5, 9)) And ((CCI(57) Crosses Below Stoch(23, 13, 15)) And (((ADX_DIPLUS(13) < ADX_DIPLUS(81)) Or (EMA(73) < EMA(78))) Or ((CCI(57) Crosses Below StochSignal(14, 3, 3)) And ((ADX_DIPLUS(13) Crosses Below ADX_DIPLUS(88)) And (ADX_DIPLUS(13) < ADX_DIPLUS(68)))))))

Reverse existing order (if any) and Buy on open at Market;
Stop Loss = (10.95 * ATR(33)) pips;
Profit Target = (10.95 * ATR(21)) pips;
}

Short Entry
if Short(Sell) is true {
Reverse existing order (if any) and Sell on open at Market;
Stop Loss = (10.95 * ATR(33)) pips;
Profit Target = (10.95 * ATR(21)) pips;
} FxMath Financial Solution is a financial software team developing end-to-end algo trading systems for quantitative hedge funds and institutional trading groups. Our system based on profitable mathematical models with highest possible profit and lowest drawn down.

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