[Archive!] WRITING A COUNTRY TOGETHER!!! - page 29

 
SO, THE MULTICURRENCY TURKEY HAS BEEN COMPREHENSIVELY SUCKED IN... ON ALL THE PAIRS... ITS CONDITIONS ARE MOSTLY SUITABLE FOR THE EURAS... SOME PAIRS EVEN CONTRADICT THEIR BEHAVIOUR SOMETIMES
 
sllawa3 >> :
SO ALL IN ALL, I'VE BEEN SUCKING THE MULTICURRENCY TURKEY... ON ALL THE PAIRS... ITS CONDITIONS ARE BASICALLY ONLY SUITABLE FOR THE EURAS... SOME PAIRS EVEN CONTRADICT THEIR BEHAVIOUR SOMETIMES

It would be silly... The same conditions set in the EA should give results for one or at the most two or three correlated pairs.

 
granit77 >> :

That would be foolish... The same conditions prescribed in the Expert Advisor and must give results for one, maximum for two or three correlated pairs.

You have to check everything and not jump to conclusions...

If my Expert Advisor trades great on the EURUSD today and bad on the Yen, then where's the guarantee that tomorrow the EUR chart will not look like yesterday's Yen, I think you understand me ... It is necessary to build a system that generally worked profitably on any pair, or rather, choosing the pair on which it could successfully trade, but this idea is still under development. And of course we must use a minimum of various indicators, oscillators, etc. First of all, the idea itself must be present, and the solutions will be found

 

THE THING IS, OF COURSE, THAT WITHOUT ADDITIONAL CONDITIONS AN INDICATOR CANNOT WORK ON ITS OWN... AND AS A CONSEQUENCE THE BETTER THE INITIAL EXPERT ( ADDITIONAL CONDITIONS) THE BETTER IT WORKS WITH THE STICK AND OF COURSE THESE ADDITIONAL CONDITIONS ON EACH PAIR IS NECESSARY ...


ON AUGUST 1ST ... GOOD EXPERT + TURKEY

Vladislav: (rofl)Bars in history 2140
Simulated ticks 126708
Simulation quality 90.00%
Initial deposit 25.00
Net profit 1034.39
Total profit 1037.09
Total loss -2.70
Profitability 384.11
Expectation of winning 4.26
Absolute drawdown 5.80
Maximum drawdown 258.40 (30.54%)
Relative drawdown 30.85% (12.20)
Total trades 243
Short positions (% win) 43 (93.02%)
Long positions (% win) 200 (99.50%)
Profitable trades (% of all) 239 (98.

35%)
Loss trades (% of all) 4 (1.65%)
Largest
profitable trade 61.20
losing trade -2.40
Average
profitable trade 4.34
losing trade -0.68
Maximum
continuous wins (profit) 128 (478.43)
continuous losses (loss) 3 (-0.30)
Maximum
continuous gains (number of wins) 478.43 (128)
continuous loss (number of losses) -2.40 (1)
Average

 
sllawa3 >> :

THE THING IS, OF COURSE, THAT WITHOUT ADDITIONAL CONDITIONS AN INDICATOR CANNOT WORK ON ITS OWN... AND AS A CONSEQUENCE THE BETTER THE INITIAL EXPERT ( ADDITIONAL CONDITIONS) THE BETTER IT WORKS WITH THE STICK AND OF COURSE THESE ADDITIONAL CONDITIONS ON EACH PAIR IS NECESSARY ...


ON AUGUST 1ST ... GOOD EXPERT + TURKEY

Vladislav: (rofl) Bars in history 2140
There are 126708 ticks modelled
Modeling quality 90.00%
Initial deposit 25.00
Net profit 1034.39
Total profit 1037.09
Total loss -2.70
Profitability 384.11
Expected payoff 4.26
Absolute drawdown 5.80
Maximum drawdown 258.40 (30.54%)
Relative drawdown 30.85% (12.20)
Total trades 243
Short positions (% win) 43 (93.02%)
Long positions (% win) 200 (99.50%)
Profitable trades (% of all) 239 (98.35%)
Loss trades (% of all) 4 (1.65%)
Largest
profitable trade 61.20
Deal Deal with a loss -2.40
Average
(1.65%) Profitable trade 4.34
losing trade -0.68
Maximum number
128 (478.43) continuous wins (profit)
3 (-0.30) continuous losses (loss)
Max.
Continuous Profit (number of wins) 478.43 (128)
Continuous loss (number of losses) -2.40 (1)
Average
Continuous winnings 80
continuous loss 2

Slava... what was the lot used in the test? is it a pips? the average profit is too low

 
RomanS >> :

Slava... what lot did you use in the test? is it a pips? too small an average profit

SO THE DEPOSIT IS SMALL... I CAN USE ONLY A MIN LOT INCREASING ( 0.33 OF FREE MARGIN ) TRADES FROM 5 ( MINIMUM ) TO 30 PIPS LEVERAGE 1:200

 

Slav, don't you want to do something more serious than write EAs with 5p profit?

If the profit is 5 pips, then where should we set the stop loss at 2.5 pips?

Let's at least do medium-term targets ;)

 
i.e. closing when conditions change at minimum profit... that's exactly my MINIMUM of 5 pips....normal positions are closed at 15-30 pips of profit... does the 40-fold deposit increase in 2 weeks mean nothing to you? and you recommend something more serious ... or do you need 400 times as much if 40 is not enough ...?
 

You take away the martin and you won't have 40 times

 
sllawa3 >> :
did you ever think of safety measures in Expert Advisors ? i.e. close when conditions change at minimum profit ... that's exactly my MINIMUM of 5 pips ... normal positions are closed at 15-30 pips profit ... does the 40-fold deposit increase in 2 weeks mean nothing to you? and you recommend something more serious ... or do you need 400 times as much if 40 is not enough ...?

Did you test it on demo or in tester?

40 times in 2 weeks is too steep, so i have my doubts