The market is a controlled dynamic system. - page 136
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so on.
The model did not work in the market. You have shown the result of testing it on the demo.
You have been working with this model for several years - do you have any results in real trading? At least a microlot?
I wonder if anyone has been able to show me similar or better results on a mash for 20 years with a constant lot and a 3K deposit on a tester so I don't get my hopes up too much?
I see you've lost the thread... It happens...
reciprocally)
I don't know, but the villagers have a lot of these pictures
Forced to show the operation of the model for 20 years on the euro/dollar without stops and takes, or rather, SL=TP = 1000 pips on TF D1 with a constant lot of 0.1:
Bars in history 6207
11412 ticks simulated
Modeling quality n/a
Chart mismatch errors 0
Initial deposit 3000.00
Net profit 50167.45
Total profit 216010.56
Total loss -165843.11
Profitability 1.30
Expected payoff 9.64
Absolute drawdown 72.99
Maximum drawdown 2887.92 (14.49%)
Relative drawdown 24.10% (1208.61)
Total trades 525
Short positions (% win) 2608 (59.43%)
Long positions (% win) 2597 (61.19%)
Profitable trades (% of all) 3139 (60.31%)
Loss trades (% of all) 2066 (39.69%)
Largest
profitable trade 420.86
Deal Deal -1000.70 is unprofitable
Average
68.82 profitable deal
80.27 losing trade
Maximum number
32 (3675.36) continuous wins (profit)
Continuous Losses (Loss) 12 (-1166.31)
Maximum
Continuous Profit (number of wins) 3675.36 (32)
Continuous loss (number of losses) -2196.54 (7)
Average
continuous winnings 3
continuous loss 2
How can the achieved statistical advantage be explained if the model does not work in the market without any optimized parameters, except for the hindsight equal to 3 bars? And if the model is refined to take into account the views of the participants? Do you think the model has a future?
the lack of stops and the fact that it is a test)
a permanent lot?
no stops and the fact that it is a test)
a permanent lot?
+