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EA: BUDAK UBAT V1.27, V1.41 BUY ONLY & SELL ONLY
ACCOUNT MANAGEMENT
1. Master EA (Fully-auto)
2. Semi auto. Equity 20-30% dari equity acc Master EA
Contoh/suggestion:
*To change the setting into low risk, use half from the starting lot above. (>10% return per month)
Sop:
Run EA 24/7. No need to off during medium/high impact news like nfp, fomc etc. Except for unsure
impact like Brexit, US Election etc.
2nd account or Semi-auto setting/entry:
Use semi auto account when the Master EA were trending or floating more than 10% and there will
be reversal incoming (manual analysis). I am using Chart Pattern Trendline and RSI OB / OS.
Monitoring
Remarks
1. This will only work if the Master EA account setting in Low risk. Medium or high risk setting
might burst the equity (MC first) before the entry can TP.
2. You need to set new TP every time the EA open new layer / entry.
3. After your entry hit TP. You need to turnoff the EA.
4. Semi-auto acc equity will follow how much your average highest float in the Master EA
account. For my setting for Master EA acc, average highest float is around 20-25%. That is
why if you using my setting, I recommend that use around 20-30% equity from the Master
EA acc. If your average highest floating is 50%, semi-auto acc should be 50% from size of
Master EA acc.
Theory behind Semi-auto trading.
1 0.04 1 No entry
2 ........ 2
3 ........ 3
4 ........ 4
5 ........ Loss NO Loss
5
. (Burden) (NO Burden)
.
. .
. .
. .
21 TP here set by EA 21 TP follow Master EA
22 ....... 22
23 2.99 Profit 23 Profit
24 3.58 24
25 4.30 25 1st entry 4.30
BUT for semi-auto account, it gross profit doesn’t need to cover any losses hence the semi account
will be more profitable compare to Master EA acc.