London Breakout Optimized PF — Strategy by RamonBosch072
By RamonBosch072
Performance Metrics
- Author: RamonBosch072
- Symbol: OANDA:USDCAD
- Timeframe: 15 minutes
- Net P&L: +1,821.28 CAD (+3.62%)
- Win Rate: 24.7%
- Profit Factor: 1.068
- Max Drawdown: 9,230.98 CAD (18.46%)
- Total Trades: 77
Description
Best Practices:Only take trades in trend and above/below VWAPAvoid trading in low-volume or sideways marketsUse it for intraday 5-min charts (15-min for trend confirmation)Track trades in a Trading Journal → improves disciplineEntry Rules:Long (Buy):Price above EMA21 & VWAP → bullish trendEMA slope positive → strong trend confirmationPullback to entry zone OR breakout above resistanceVolume above 1.3× average → avoids weak movesShort (Sell):Price below EMA21 & VWAP → bearish trendEMA slope negative → strong downtrendPullback to entry zone OR breakout below supportVolume above 1.3× averageExit Rules:Stop-Loss: ATR-based, dynamic (tight for fewer losses)Take Profit: Risk × 3 (3:1 R:R)Automatically handled by the strategy (strategy.exit)