nice !
which timeframe and currency ?
referring people to your site and then selling things. bad rating from me.
nice !
which timeframe and currency ?
Best time frame is Daily, long&short work together
Results depend of your spread, works well on Eur/usd and Eur/jpy with spread 3 max.
I decided to offer my setting to all i make a lot of cash now, because i started with only 100$ and now i got more than 26430$ in 6 month.
BE CAREFUL OF THE NUMBER OF TRADES PER BAR AND RISK FACTOR GEOMETRICAL NO MORE THAN 10%
HERE IS THE RIGHT SETTING PLEASE DON'T TRY ON DEMO ONLY YOU DON'T HAVE SAME RESULT
extern string rem1="//---- Definition Trend et Breakout";
extern int BreakoutPeriode=7;
extern int TrendPeriode=7;
extern string rem2="//---- Order";
extern bool OnlyShort=false;
extern bool OnlyLong=false;
extern int MaxTradesPerBar=3; you can change the number of trade but this parameter is risky
extern int StopLoss=6;
extern int BreakEven=1;
extern int SeuilSL = 6;
extern int PartialTP1=10;
extern int PartialRatio1=1;
extern int PartialTP2=6;
extern int PartialRatio2=10;
extern int TakeProfit=6;
extern int Slippage=3;
extern int MaxSpread=3;
extern int Magic=12387;
extern string rem3="//---- MM: 1.Fixed 2.Geometrical 3.Proportional 4.Smart 5.TSSF";
extern int MMType=3;
extern double FixedLots=1;
extern int GeometricalFactor=50;
extern int ProportionalRisk=90;
extern int LastXTrades=10;
extern double DecreaseFactor=2;
extern double TSSFTrigger1=1;
extern int TSSFRatio1=50;
extern double TSSFTrigger2=2;
extern int TSSFRatio2=75;
extern double TSSFTrigger3=3;
extern int TSSFRatio3=100;
extern string rem4="//---- Debug";
extern bool DebugMode=false;
referring people to your site and then selling things. bad rating from me.
I don't think so. I know how much time it takes to program good EA, so asking 5$ is very reasonnable.
HI your settings are they for 5 digit broker or do i add a zero
nice !
which timeframe and currency ?
Best time frame is Daily, long&short work together
Results depend of your spread, works well on Eur/usd and Eur/jpy with spread 3 max.
I decided to offer my setting to all i make a lot of cash now, because i started with only 100$ and now i got more than 26430$ in 6 month.
BE CAREFUL OF THE NUMBER OF TRADES PER BAR AND RISK FACTOR GEOMETRICAL NO MORE THAN 10%
HERE IS THE RIGHT SETTING PLEASE DON'T TRY ON DEMO ONLY YOU DON'T HAVE SAME RESULT
extern string rem1="//---- Definition Trend et Breakout";
extern int BreakoutPeriode=7;
extern int TrendPeriode=7;
extern string rem2="//---- Order";
extern bool OnlyShort=false;
extern bool OnlyLong=false;
extern int MaxTradesPerBar=3; you can change the number of trade but this parameter is risky
extern int StopLoss=6;
extern int BreakEven=1;
extern int SeuilSL = 6;
extern int PartialTP1=10;
extern int PartialRatio1=1;
extern int PartialTP2=6;
extern int PartialRatio2=10;
extern int TakeProfit=6;
extern int Slippage=3;
extern int MaxSpread=3;
extern int Magic=12387;
extern string rem3="//---- MM: 1.Fixed 2.Geometrical 3.Proportional 4.Smart 5.TSSF";
extern int MMType=3;
extern double FixedLots=1;
extern int GeometricalFactor=50;
extern int ProportionalRisk=90;
extern int LastXTrades=10;
extern double DecreaseFactor=2;
extern double TSSFTrigger1=1;
extern int TSSFRatio1=50;
extern double TSSFTrigger2=2;
extern int TSSFRatio2=75;
extern double TSSFTrigger3=3;
extern int TSSFRatio3=100;
extern string rem4="//---- Debug";
extern bool DebugMode=false;
Hi,
All the JPY note use other lots than 0,01. could you please help me whats wrong?
How could you transform 100 into 26.000? what setings did you use. I tride this one and I only go to 1.000 in six months.
best
tn
hi would it be possible to tell us what each setting-name means like extern int BreakoutPeriode=7;
extern int TrendPeriode=7; ect thanks
Damn, it really works!
I optimised for last 3 months and then I ran back-testing for last year (fixed lot size 0.01). Here are my results:
Usually all experts fails when you do forward testing (or back-testing) on days that you haven't optimised for, but this is first one that works for any year, moth and day.
Symbol | EURUSD (Euro vs US Dollar) | ||||
Period | Daily (D1) 2008.11.02 00:00 - 2010.08.01 00:00 (2008.11.02 - 2010.08.02) | ||||
Model | Every tick (the most precise method based on all available least timeframes) | ||||
Parameters | rem1="//---- Definition Trend et Breakout"; BreakoutPeriode=6; TrendPeriode=7; rem2="//---- Order"; OnlyShort=false; OnlyLong=false; MaxTradesPerBar=3; StopLoss=5; BreakEven=2; SeuilSL=9; PartialTP1=10; PartialRatio1=1; PartialTP2=6; PartialRatio2=13; TakeProfit=15; Slippage=3; MaxSpread=3; Magic=12387; rem3="//---- MM: 1.Fixed 2.Geometrical 3.Proportional 4.Smart 5.TSSF"; MMType=0; FixedLots=0.1; GeometricalFactor=50; ProportionalRisk=90; LastXTrades=10; DecreaseFactor=2; TSSFTrigger1=1; TSSFRatio1=50; TSSFTrigger2=2; TSSFRatio2=75; TSSFTrigger3=3; TSSFRatio3=100; rem4="//---- Debug"; DebugMode=false; | ||||
Bars in test | 1542 | Ticks modelled | 5662270 | Modelling quality | 90.00% |
Mismatched charts errors | 27 | ||||
Initial deposit | 5000.00 | ||||
Total net profit | 188.00 | Gross profit | 281.00 | Gross loss | -93.00 |
Profit factor | 3.02 | Expected payoff | 0.33 | ||
Absolute drawdown | 2.30 | Maximal drawdown | 8.60 (0.17%) | Relative drawdown | 0.17% (8.60) |
Total trades | 566 | Short positions (won %) | 283 (68.90%) | Long positions (won %) | 283 (65.37%) |
Profit trades (% of total) | 380 (67.14%) | Loss trades (% of total) | 186 (32.86%) | ||
Largest | profit trade | 1.50 | loss trade | -0.50 | |
Average | profit trade | 0.74 | loss trade | -0.50 | |
Maximum | consecutive wins (profit in money) | 29 (34.00) | consecutive losses (loss in money) | 7 (-3.50) | |
Maximal | consecutive profit (count of wins) | 34.00 (29) | consecutive loss (count of losses) | -3.50 (7) | |
Average | consecutive wins | 3 | consecutive losses | 2 |
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Author: christopher