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V12 beta
David, do you want me to run my v12 demo through all news tomorrow and Friday? Would that help your analysis, or would you rather I disable it? Tomorrow is eur interest rate statement and Friday's loaded too.
V12
Forward testing on V12 following on from post # 1562
I have changed my settings from agressive true to agressive false because I will be away from my PC over the NFP announcement and will return on Monday. This has given David the opportunity to assess the closing down procedures
when the EA takes no more trades during the "Dangerous Time Zone".
Closed Profit $20865.81
John
Forward testing V12
Forward testing on V12 following on from post # 1561
As per the previous post both my V12 testings will be changed to agressive false until Monday.
Closed Profit +$9.26
John
Hi Ray,
The spacing is controlled by the divisor number the lower the number the greater the spacing, I was headed for a big loss also until my server went haywire, but like I said this is just in early stages and please dont try on a live account, want to try on demo just to see how it performs and so far not performing even close to backtest.If I was to guess you probably have the divisor set to default setting 10, which will give very close pipstep.
Hope this helps
toolsActually, it's set to 4. Pips is set to 2. What is pips, if it's divisor that controls the spacing?
Ray
Combo forward testing
Well at last my account has had some losses but fortunately not as much as the previous profits.
Closed Profit since 18th February $969.60 Floating Loss $332.5.
The starting account level was $1870 so a net profit of just over $600 represents a trading profit over 30% for the 3 weeks.
A MaxTrades loss on Mod1e was followed immediately by another MaxTradesLoss in the opposite direction. Hindsight would have allowed another MaxTrades level and the losses would have ben eliminated.
Goblin has contributed $361 towards the closed profit and Mod1e $608.
Still alive and kicking and has previously been posted I hope to remotely access the Combo account prior to the NFP announcement on Friday AM EST.
John
Well at last my account has had some losses but fortunately not as much as the previous profits.
Probably just at the time I decided to try it live
My timing never was good.
Ray
david, how did the v12 handle the sudden euro move today?
david, how did the v12 handle the sudden euro move today?
What? Which sudden move you referring to?:D
Regards,
David
Creating mini monster
Meanwhile, I'm creating another EA to trade with the trend based on martingale system. But this time the coding is very complicated. Doesn't seems working well. I broke 1 of my sub account last year, left about 70bucks balance, so I made an EA to trade it. Close pip step, close target. Everything is half size of the 10point3. Besides, the emergency bailing system is tonnes of work too. I might make it available for those who broke their account too. I mean if it works well, we might have a chance to heal our account to V12 tradeable size. The entire system are still on going project. Monster doesn't mean the biggest is the goddess, but can heal the account, thats the most important thing. Anybody watching Pokemon? Correct! Healing monster! Even got in to war, field medic is always the most important person to protect because it can keep the team strength.:D Stay tune.
Regards,
David
There you go.
Regards,
David
p/s: as my lot size keep increasing, I increase my secure profit as well.The calculation below based on IBFX micro account, 0.01lot = 1cent
if SecureProfit=2
0.10 -39pips -US3.90
0.20 -21pips -US4.20
0.40 -3pips -US1.20
0.80 +15pips +US12.00
Grandtotal = +US2.70 Equity-Balance more then SecureProfit, close all position
if SecureProfit=50
1.00lots -54pips -U$54.00
2.00lots -36pips -U$72.00
4.00lots -18pips -U$72.00
8.00lots 0pips U$0.00
16.00lots +18pips +U$288
Grandtotal = +U$90.00 Equity-Balance more then SecureProfit, close all position
When your lot size is increasing, you'll have to judge what sizes you'll needed to put it on. You can maintain SecureProfit=5 all the while, but for me its not worth, the system will close off the position with breakeven most of the time. That is why I regularly change my SecureProfit. Especially when US Home Sales announcement, I'll change the SecureProfit=5 regardless of my account size, and back to higher figure after the spike. Only 2 type of announcement I'll unplug the system, which is NFP and FOMC. I'll place them on Agressive_Mode=False 1 day prior these financial event, and place them back to Agressive_Mode=True the next day after the initial trade is placed by the conservative mode. Hope this answer your question.
Regards,
David