i tested 2008.03.26 - today result is very good. buy
first time 2008.01.01 - today resuly is very bad.
please test 2007.01.01-2008.02.28
I tested 30/06/2008 - today's result is very good.
I bought and sell with an Excellent results.
Is 100K to a 56 Million in 3 months possible? Realistic BackTesting
I'm interested too to know about this.
Have you finally got an excellent Script for this strategy?
Is 100K to a 56 Million in 3 months possible? Realistic BackTesting
I'm interested too to know about this.
Have you finally got an excellent Script for this strategy?
I've acomplished that already...the chart in that thread is actually 56 mill not 560K.
I used this script but I the script was pushing 8 lots instead of 3, and computing bigger lot sizes. The risk factor would leave 101%free margin available with each position.
I watered down the code, due to stopouts.
Thanks
i tested this EA, this report on the strategy tester was not like what you have stated above . what's going on?
Bars in test 2620
Ticks modelled 80853
Modelling quality 86.57%
Mismatched charts errors 58
Initial deposit 10000.00
Total net profit -124.86
Gross profit 1999.12
Gross loss -2123.98
Profit factor 0.94
Expected payoff -10.40
Absolute drawdown 3211.32
Maximal drawdown 8318.96 (55.06%)
Relative drawdown 55.06% (8318.96)
Total trades 12
Short positions (won %) 6 (0.00%)
Long positions (won %) 6 (83.33%)
Profit trades (% of total) 5 (41.67%)
Loss trades (% of total) 7 (58.33%)
Largest
profit trade 809.51
loss trade -841.28
Average
profit trade 399.82
loss trade -303.43
Maximum
consecutive wins (profit in money) 3 (1992.64)
consecutive losses (loss in money) 4 (-99.36)
Maximal
consecutive profit (count of wins) 1992.64 (3)
consecutive loss (count of losses) -2024.62 (3)
Average
consecutive wins 3
consecutive losses 4
i tested this EA, this report on the strategy tester was not like what you have stated above . what's going on?
Bars in test 2620
Ticks modelled 80853
Modelling quality 86.57%
Mismatched charts errors 58
Initial deposit 10000.00
Total net profit -124.86
Gross profit 1999.12
Gross loss -2123.98
Profit factor 0.94
Expected payoff -10.40
Absolute drawdown 3211.32
Maximal drawdown 8318.96 (55.06%)
Relative drawdown 55.06% (8318.96)
Total trades 12
Short positions (won %) 6 (0.00%)
Long positions (won %) 6 (83.33%)
Profit trades (% of total) 5 (41.67%)
Loss trades (% of total) 7 (58.33%)
Largest
profit trade 809.51
loss trade -841.28
Average
profit trade 399.82
loss trade -303.43
Maximum
consecutive wins (profit in money) 3 (1992.64)
consecutive losses (loss in money) 4 (-99.36)
Maximal
consecutive profit (count of wins) 1992.64 (3)
consecutive loss (count of losses) -2024.62 (3)
Average
consecutive wins 3
consecutive losses 4
Did you run it all the way through???
Your Bars in the test were only 2620, versus my 19210 bars.
Hello,
Could you please try to help me write the EA like this: 'Can somebody try to write EA based on Taichi & deMarker indicators only on 1 hour charts?'
The above link is to my subject I have added last time on this MQL Forum...
Best regards,
Puncher
POLAND
I have run GBP/USD forward test since Monday, yesterday EA open buy order trade when buy_sig reach 3 , after that all 3 single trade went to profit 90+ pips, but next day, it drop back to 0 profit (buy_sig < 3), now go back to +45 pips.
If in this case, if take profit and open buy order again when it reach again at 0 level will be better, do you have any idea on this? I donno adding trailing stop activate after 50 pips profit will help or not.
i tested 2008.03.26 - today result is very good. buy
first time 2008.01.01 - today resuly is very bad.
please test 2007.01.01-2008.02.28
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