General concept
The strategy is a portfolio algorithmic model for managing positions on the Forex market. It is built on a diversified set of currency pairs held using a grid order distribution. The logic is closer to portfolio holding than active intraday trading: the focus is on managing aggregate deposit load and portfolio-level risk, not individual trades.
- diversification across currency pairs
- selection of instruments with positive swap
- grid order distribution with a unique entry algorithm
- algorithmic control of opening/closing and load management