INTRADAY PIPER - page 9

 
sllawa3 писал(а) >>

ORDERS ARE OPENED ON A DISTANCE SET IN THE SETTINGS E.G. 2 PIPS ...OR 10 ... OR 8... WHOEVER SETS IT...

Here you have in your report the top 5 pts buy 0.1L open at 15:00, almost at the same price. And if there was a single put at 1.2594

with a 0.5 lot, how would that be worse? You're not answering my question, I'm not asking at what distance the orders are opened.

 
khorosh >> :

Here you have in your report the top 5pc of the 0.1L buy open at 15:00, almost at the same price. And if there was a single put at 1.2594

with a 0.5 lot, how would that be worse? You're not answering my question, I'm not asking at what distance the orders open.

>> do you think I remember now?

 
HELLO TO ALL... I'VE MADE A SMALL ADDITION TO MY STOCHASTIC EA ... (BY REQUEST) BLOCK FORCED POSITION CLOSING WHEN CONDITIONS CHANGE ... IF YOU NEED THIS FEATURE IN MY EA, PLEASE CONTACT ME PERSONALLY OR ON FACEBOOK...
 
Make an auto updater - it would be much easier and more convenient...
 
sllawa3 >> :
HI ALL... MY STOCHASTIC EA: JUST A SMALL ADDITION... ( BY REQUEST ) BLOCK FORCED POSITION CLOSING WHEN CONDITIONS CHANGE... IF YOU NEED THIS FEATURE IN MY EXPERT ADVISOR, PLEASE CONTACT ME IN PERSON OR ON FACEBOOK...

i recommend to add Asc>L and Bid<H (H and L are HIG and LOW BAR M1 ) FOR THE WEEK ENDED WITH THESE CORRECTIONS:


ATIKMULTITAIM.1
EGlobal-Demo (Build 220)

SymbolEURUSD (Euro vs US Dollar)
Period5 Minutes (M5) 2009.02.23 00:00 - 2009.02.27 22:55 (2009.02.23 - 2009.02.28)
ModelAll ticks (most accurate method based on all smallest available timeframes)
ParametersBAY="BAY SETTINGS:"; StopLoss1=70; TakeProfit1=30; TrailingStop1=12; SEL="SELL SETTINGS:"; StopLoss=70; TakeProfit=30; TrailingStop=12; LOT1="BAY LOTS SETTINGS:"; Lots1=1; K1=0.5; LOT="SELL LOTS SETUP:"; Lots=1; K=0.5; D1="BAY'S LOTS:"; Pips1=15; LotsD1=1; N1=20; Delay1=1; D="SELL'S LOTS:"; Pips=15; LotsD=1; N=20; Delay1; P="OTHER:"; CODA=0; leverage=500; slip=3; TAIMTREND=5; delayS=5; delayB=5; U="LEVELS AND FLAGS:"; USM=90; UBM=10; UST=60; UBT=40; USTIK=70; UBTIK=30; BUY=1; SELL=1; CLOSEBUY=1; CLOSESELL=1; M="MAGIC BUY:"; MAGIC1=1812; MAGICD1=1905; M1="MAGIC SELL:"; MAGIC=1845; MAGICD=1964;














Initial deposit1000.00



Net profit235043.12Total profit235043.12Total loss0.00
Profitability
Expected payoff5732.76

Absolute Drawdown681.00Maximum drawdown42000.00 (23.07%)Relative drawdown47.09% (747.40)

Total trades41Short positions (% win)17 (100.00%)Long positions (% win)24 (100.00%)

Profitable trades (% of all)41 (100.00%)Loss trades (% of all)0 (0.00%)
Largestprofitable deal30000.00losing deal0.00
Averageprofitable deal5732.76losing trade0.00
Maximum numbercontinuous wins (profit)41 (235043.12)Continuous losses (loss)0 (0.00)
MaximumContinuous profits (number of wins)235043.12 (41)continuous loss (number of losses)0.00 (0)
Averagecontinuous winnings41Continuous loss0
 
INTERESTED IN MY EXPERTS, PLEASE CONTACT ME PRIVATELY ...
 
sllawa3 >> :
INTERESTED IN MY EXPERTS PLEASE CONTACT ME IN PERSON .

>> contacted.