T101(Trader101)外汇交易系统的中英文说明

This is a very simple method and it is all base on price action, indicator free trading and it is done manually.

First you have to open a demo account and make sure that the broker you choose have the ff. pairs (must have) in their platform:

1. GBPUSD
2. EURGBP
3. GBPCHF
4. CHFJPY
5. AUDJPY
6. EURJPY
7. USDCHF

8. CADJPY
9. AUDUSD
10. USDJPY
11. EURUSD
12. EURCHF
13. GBPJPY
14 USDCAD

The top seven pairs is set 1 and the bottom is set 2. These pairs will hedge each other. Fresh start this method at the very beginning of the week, this will give you a good look at the pairs as weeks goes on. Set 1 trade them SHORT and set 2 trade them LONG. No SL and no TP. As much as possible run a script (attached) so as to maintain correct timing in opening them. Click twice the profit column of your terminal so as to make the positive profit pairs stay at the top and the negatives stay at the bottom or vice versa. Initially the order of this pairs is a mess, let it run for a day or two and you will notice the pairs will start to make a proper order. All the buys will stay at the bottom and all the sells will occupy the top or vice versa. It like putting to rest the dirty bottled water and it will start to settle down after a certain period and all the dirt to the bottom and the clearer water at the top.

About a day or two, all the buys (if negatives) will stay below and the sell (if positives) will be at the top. Now the indication that you should watch is, ideally the bottom 7 slots should be occupied by the negatives, the first pair in the negative that crosses the boundary of positive and negatives is the pairs we are concern. If one of the negative jump to slot 8 (counting from bottom) there is also a corresponding positive that will jump to slot 7. This is the signal. We will trade those two pairs that jump out of boundary.

You should have another account where you real trading will be executed. You will trade the two pairs that jump out. If the pair that jump up is Long then trade the two breakaway pairs LONG or vice versa. I also trade the next two pairs that jump of the boundary. I limit myself to just 4 pairs being traded at one time. The profit is up to you, what I do is when the pair i'm trading retreats 2 slots then I close it.

Remember do not touch your demo account as this will serve as your indicator and keep it running all the time and just check it once in while for any jumper pair and then trade them.

On the attached terminal copy, you can see the brakeaway pair USDCAD that was a few hours ago and i traded it and make some pips on it. Consequently the other pair GBPUSD also jump 1 slot down and can also be trade Long as well.

I usually only trade a max of 4 pairs that jump out and thats it. What happend is sometimes that breakaway pairs continue to reach the top or bottom or sometimes fall back to original position. If fall back happend then wait again for the next breakout pairs and trade. If its still coninuing to maintain its slot or moving up then just continue the trade. As i mentioned i close only when they retreat 2 slots. Best is you observe yourself the behavior of the pairs for at least a week.

No preference on the tp. your descretion but i normally close trade if the pair retreat 1 or 2 slots. Keep the demo running, it will become your indicator already and monitor it for the movement of the pairs. That is the reason why we have 14 pairs there. That way we can see more or less the moves of the entire currencies on that particular broker. Much better that those indicators, lines and candles but you have to observe it very closely. Eventually it will become like a road map to you and you can make your prediction where this certain pairs will go.

The 2nd part of the hedge account is to execute the same pairs the same direction but this time it will be 2 lots and i also added the comments "2lots" and on the terminal i check the comments so i can see where the newly 14 pairs will settle. As you can see the GU's the 1 lot and the 2 lots raced downward and will continue to reach the bottom or the SELL territory, since it is negative in the SELL territory that will make it its direction LONG, hence i traded the GU. I observe that when the 1 lot and 2 lots are adjacent to each other the trend for both is the same. Remember the "2lot" was just added lately and the 1lot one was entered since Sunday but the trend never change. I hope i explain in well. I suggest keep observing the movement of this currency and you will ntoice a lot of behavior of the pairs and innovate as you go.

The safest trades is the 14 pairs trading one direction. The winning percentage is higher than the 4 pairs tandem. I use the 2 pairs and 4 pair tandem when i feel bored waiting for the opposite trade to occupy the anchor position ( position when sell from bottom half finally dislodged the number 1 buy, it is also the time the buy will dislodge the lowest sell.) The dislodging of anchor of these pairs is what i called the safest time to trade 14 pairs straight.

never trade the EU and UC in the same direction or GU and UJ. Yes those mentors i had were right, however reflecting in on our indicator as an example, if initially the EU is buy at the top spot and UC sell at lowest spot, as trading goes one the EU will move down and UC will move up at a certain point somewhere in the middle they will met and using our guide. Buy going down is SELL and sell going up is SELL then if you shorted both the EU and UC they will be both positive trades upon reaching the middle...isnt it.
Well there are plenty more that you will discover as you continue to observe this method and they are simple to comprehend, you dont need any trend lines and s/r and others.

1) BUYS that jumps up === BUY (if buy jump to profit you buy)
2) SELLS that jumps down=== BUY (if sell jump to loss you buy)
3) BUYS that jumps down === SELL (if buy jump to loss you sell)
4) SELLS that jumps up === SELL (if sell jump to profit you sell)

I just want to make sure that I have this all right... we get a signal to go for a long straight because G/U(BUY) has moved to the number 1 position and E/U(sell) has moved to the last position!

Looking at the demo account you have posted I will trade Long for the ff reasons:
1) Clearly the BUys are moving up the only Sell is the UJ that occupy the 2nd slot.
2) Your profit difference is less than the cost of spread
3) Your recommended trend is Long.
4) The lowest buy is UC which is adjacent to EU its rival. EU is in the anchor position of SELL. Definitely the UC will stay away from EU. The is also true for the top spot the GU and the UJ.
I would say it is a strong BUY situation.That is my analysis.

Ok the second phase of our trading will be to optimized our trading. Trading all LONGS on 14 pairs is profitable already when there is strong trend. But with 14 pairs traded Long your winning pairs normally is 8 pairs and you loss the 6 pairs. Upsetting one of the pair in the group will increase you winning pairs. You will get the top 4 and the lower 4 and either 2 or 3 of the middle which will make your winning around 10 pairs or 11 pairs. The technique is to trade the UsdChf short when you are trading long or Long when you are trading short.

if Trading LONG;
short UsdChf
short UsdCad
if Trading SHORT
Long UsdChf
Long UsdCad

For safe trading you wait tell those anchors (AudUsd and AudJpy) leave thier spot then you trade LONG. If that happend you your profit will be moving towards 0 and then hold until the profit reaches somewhere 20 or the anchors reaches the the opposite side then wait again for the anchors to leave and trade Short and again and again and again. Ihope you all got the points now.

Anchor pairs will not always be AU and AJ, they just happened to be earlier today when my setup occurred. When Trader101 talks about pairs jumping, he is talking about the anchor movement from the top(most positive) down or from the bottom(most negative) up. Let me see if I can explain better.

example (the perfect setup)

Pair Profit
Sell GBPUSD 500
Sell EURGBP 450
Sell GBPCHF 400
Sell CHFJPY 350
Sell AUDJPY 300
Sell EURJPY 250
Sell USDCHF 200

Buy CADJPY -200
Buy AUDUSD -250
Buy USDJPY -300
Buy EURUSD -350
Buy EURCHF -400
Buy GBPJPY -450
Buy USDCAD -500

In this setup GU and UC are the anchor pairs.
1.When UC jumps up and switches places with GJ, this is an indication of trend reversal.
2.When GU jumps below EG this is another indication of trend reversal.

3.When both 1 and 2 jump its an even better indication of trend reversal.

4. Since the sells are on top and the buys are on bottom, the trend will be leaning toward the LONG direction when entereing all pairs.

骚片AV---------------------------------------------------------

骚片AV下面是另外一个版本的T101,带中文说明的!

国外著名的trader101的交易系统
原文链接地址:
Im been playing this method for about 3 months now and the return is quite good. This is a very simple method and it is all base on price action, indicator free trading and it is done manually.
First you have to open a demo account and make sure that the broker you choose have the ff. pairs (must have) in their platform:
我已经用这个方法有3个月时间了,取得了不错的利润。这是一个非常简单的方法,这个方法基于价格行为,不用指标,需要人工操作。
首先,你要开个模拟帐号,注意模拟账号的平台必须有以下货币对:
1. GBPUSD
2. EURGBP
3. GBPCHF
4. CHFJPY
5. AUDJPY
6. EURJPY
7. USDCHF
8. CADJPY
9. AUDUSD
10. USDJPY
11. EURUSD
12. EURCHF
13. GBPJPY
14 USDCAD
The top seven pairs is set 1 and the bottom is set 2. These pairs will hedge each other. Fresh start this method at the very beginning of the week, this will give you a good look at the pairs as weeks goes on. Set 1 trade them SHORT and set 2 trade them LONG. No SL and no TP. As much as possible run a script (attached) so as to maintain correct timing in opening them. Click twice the profit column of your terminal so as to make the positive profit pairs stay at the top and the negatives stay at the bottom or vice versa. Initially the order of this pairs is a mess, let it run for a day or two and you will notice the pairs will start to make a proper order. All the buys will stay at the bottom and all the sells will occupy the top or vice versa. It like putting to rest the dirty bottled water and it will start to settle down after a certain period and all the dirt to the bottom and the clearer water at the top.
上面的7个货币对是集合1,下面的货币的是集合2,相互形成对冲。在一周的开始使用这个方法,将能让你一周当中的看清这些货币对。做空集合1的货币对,做多集合2的货币对。不用止损和止赢。为了获得适当的开仓时间,多执行几次附件中的脚本。点两下获利那一栏,让获利的货币对排列在上面,亏损的货币对排在下面,反之也行。一开始,货币对的排序是乱的,跑上一两天,你将发现这些货币对开始形成特定的次序。所有买单的将停留在下面,所有卖单的将停留在上面,或者相反,就像浑浊沉淀在瓶底,清水留在瓶子上面一样。

About a day or two, all the buys (if negatives) will stay below and the sell (if positives) will be at the top. Now the indication that you should watch is, ideally the bottom 7 slots should be occupied by the negatives, the first pair in the negative that crosses the boundary of positive and negatives is the pairs we are concern. If one of the negative jump to slot 8 (counting from bottom) there is also a corresponding positive that will jump to slot 7. This is the signal. We will trade those two pairs that jump out of boundary.
大概一两天之后,亏损的买单将停留在底部,获利的卖单将在顶部。理想情况下,下面的7行全部是亏损的,如果一个负的跳到第8行(从下往上数),相应的也有一个正的跳到第7行,这就是信号,我们交易穿越边界的两个货币对。
You should have another account where you real trading will be executed. You will trade the two pairs that jump out. If the pair that jump up is Long then trade the two breakaway pairs LONG or vice versa. I also trade the next two pairs that jump of the boundary. I limit myself to just 4 pairs being traded at one time. The profit is up to you, what I do is when the pair i'm trading retreats 2 slots then I close it.
骚片AV 在你的真实账户,你交易这两个越界的货币对。如果往上跳的货币对是做多的那么就做多越界的两个货币对,反之亦然。下一次的越界的两个货币对我也交易。我限制自己,每次仅交易4个货币对。结利随你便,我是在交易的货币对回撤两行的时候平仓。

Remember do not touch your demo account as this will serve as your indicator and keep it running all the time and just check it once in while for any jumper pair and then trade them.
On the attached terminal copy, you can see the breakaway pair USDCAD that was a few hours ago and i traded it and make some pips on it. Consequently the other pair GBPUSD also jump 1 slot down and can also be trade Long as well.
I hope i explain it well. Good Luck trading,
Trader101
记住不要动你的模拟账户,它是一个指标,让她一直运行,时不时检查一下是否有越界的货币对,有的话就交易。
在下图中,你能看到,ucdcad几小时前越界,我做了交易,获得了一些点数。同理,gbpusd下跳了一行,可以做多gbpusd了。

Im sorry for the confusion that was created by an unclear guidelines. Anyways here is the rule:
Your profit will be arange in a descending order (Positive above, negative below)
1) BUYS that jumps up === BUY
2) SELLS that jumps down=== BUY
3) BUYS that jumps down === SELL
4) SELLS that jumps up === SELL
不好意思我的主题的开始说得有些不清楚。无论如何,下面是一个规则:
让你的获利栏按照降序排列(正的在上,负的在下)
1)买单往上跳 == 买
2)卖单往下跳 == 买
3)买单往下跳 == 卖
骚片AV 4)卖单往上跳 == 卖

Ok, so if I'm going to stick with the 14 pair method then once all Buys and Sells are together I then wait for
one of them to break out then;
if Buys are on Bottom and One breaks out upwards then go 14 Long
if Buys are on Top and One breaks out downward then go 14 Short
If Sells are on Bottom and One breaks out upwards then go 14 Short
If Sells are on the Top and One breaks out Downward then go 14 Long
happend then we shift our trade to all sells because that is the signal that it has reached the apex
Assuming that you have not heard all this talk about the BUY are trending, you have to wait till the last BUY
left the Achor position or the first buy occupy the top slot then you trade all BUYS.
OK,我继续讲解14货币对的交易方法,当所有买单聚合一块,所有卖单也集合一起的时候,我等待其中一个货币对的越界。
如果买单在底部并且有一个向上越界,则将做多14个货币对
如果买单在顶部并且有一个向下越界,则将做空14个货币对
如果卖单在底部并且有一个向上越界,则将做空14个货币对
如果卖单在顶部并且有一个向下越界,则将做多14个货币对
期望的理想情况下,7个买单在顶部,7个卖单在底部,这个时候我们将做空所有货币对,因为这是一个物极必反的信号。
如果你不明白做多趋势的形成,那么你要等待直到最后一个卖单离开锚位,或者第一买单占据最定行,这个时候做多所有货币对

(做空也一样)

Trader101把他的模拟账户看做一个指标,称为指标账户(Indicators Account),简称IA。
下面介绍下怎么搭建这个账户。
1.安装mt4软件
2.下载附件
3.将附件中Indicators文件夹中的文件拷贝到mt4安装路径的experts\indicators文件夹下面
4.将附件中Scripts文件夹中的文件拷贝到mt4安装路径的experts\scripts文件夹下面
5.将附件中EAs文件夹中的文件拷贝到mt4安装路径的experts文件夹下面
6.重新打开MT4软件,开个模拟账户
7.在mt4导航栏中,展开脚本这一项,双击TraderHedge,在弹出的菜单中勾选允许实时自动交易,按确定。
8.查看终端栏交易项,此时14个货币对同时开仓,点击获利一栏,让亏损的单排在下面,获利的单排在上面
9.打开一个货币对比如EURUSD的图表窗口,从导航栏的自定义指标中,把profitcalc_graphical,profitgraphBUY,
profitgraphSELL加进窗口中。这是指标窗口是空的,看1M图,等1分钟,就会有数据了。如果在1H图里,需要等1小时指标窗口才会有一个数据。
10.ok,good luck!
注:profitcalc_graphical指示买单和卖单的获利情况
profitgraphBUY指示所有买单的获利情况
骚片AV profitgraphSELL指示所有卖单的获利情况

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