Frank EA and 10p3 EAs - page 26

 

10p3v0.03 EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

Files:
 

Frank_mod EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

Files:
 

10p3v0.03 EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

Files:
 

10p3v0.03 EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

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Some members asked me by PMs to post this image now. Because they want to go live with this EA and they want to see the latest drawdown. Just to estimate their deposit size.

So, the DD was 1,138 dollars (0.01 lot size in EA settings).

But account_equity_analyzer indicator was restarted few weeks ago. And most bad DD was $1556.47. It was a maximum DD since January this year for all the pairs testing (11 pairs).It was on April 29th at 9.46am. Read this post https://www.mql5.com/en/forum/178485/page12

By the way, there are the other versions of this EA: https://www.mql5.com/en/forum/176044/page2

It means that we may slightly reduce DD using 10p3v0.04 EA.

Still did not test 10p3v1.00 EA series and especially 10point3 Hedge. I thing those versions are having very good potential.

Files:
 

Frank_mod EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

Files:
 

10p3v0.03 EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

Files:
10p3_2807_1.jpg  127 kb
 

Frank_mod EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

Files:
 

10p3v0.03 EA visual statements updated.

Visual statement using this indicator:

As to the EA/settings/pairs/timeframe - look at the first post of this thread.

Files:
 

And just for information.

Frank_ud001_mod.

Alpari UK broker.

H1 timeframe.

EURUSD, GBPUSD, CHFJPY and EURCHF.

Martingale type of EA. No MM. Starting lot size is 0.01.

Since since 09th of March 2008.

Maximum DD: 999 dollars, max floating DD is 3.54%, Annual ROI is 37%.

Starting deposit size 25,000.

by 31st of March 2008 equity 25,829.

by 01st of May 2008 equity 26,791.

by 01st of June 2008 equity 27,422.

by 02nd of July 2008 equity 27,838.

by 01st of August 2008 equity 28,627.

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10p3v0.03.

Alpari rus broker.

H1 timeframe.

11 pairs.

Since since 06th of January 2008.

Max Floating DD = -1138.53 dollars.

Max Floating DD: 15.41%

Time of Max DD registered at 11:57 (GMT+1) in 05th of June 2008.

Annual ROI: 90%.

Starting deposit size 5,000.

by 1st of February 2008 equity 5,385.

by 1st of March 2008 equity 5,713.

by 31st of March 2008 equity 6,038.

by 01st of May 2008 equity 6,362.

by 01st of June 2008 equity 6,791.

by 02nd of July 2008 equity 7,224.

by 01st of August 2008 equity 7,588.

 

ND, would you be kind enuf to tell me which 10p3 EA do you use and also the setting and the currency pairs? many thanks bro