Yuriy Barykin / Perfil
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6+ años
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266
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It is desirable that the EA had the mode of growth of the deposit to more accurately test the drawdown.
UniMartin is a universal Expert Advisor combining trend strategies, grid and martingale. The EA trades in the trend direction, making decisions based on the MA indicator (at least TrendBars amount of bars should closer for a trend to appear). If averaging is necessary, the minimum step is set for the EA. The decision on the need for averaging is made based on original methodology for determining the market volatility (the CoeffOfVolatMarket parameter can be changed from 0 to 10 with any
1.Optimize on semi-intersecting periods (earlier, than 3 months before the current date) and then search for close parameters manually.Convenient to take 3 months-periods.
2.Compare only parameters with a yield of half the maximum
3.Check parameters on the last 3 months
4.If the EA has made a profit of at least half of the expected, use these parameters
For example, from now, april 2018, we test periods
01.10.17-31.12.17,
01.07.17-30.09.17,
01.04.17-30.06.17,
01.01.17-31.03.17
then halfperiods to past
16.08.17-15.11.17
16.05.17-15.08.17
16.02.17-15.05.17
16.11.17-15.02.17
And last check period 01.01.18-31.03.18
В настоящее время проходит тестирование на реальных счетах далекий родственник этого советника, основное назначение-спасение депозитов.
Hello everyone ! Today MartinTrend Advisor put up for sale. It is basically simple, but with chips - topping the trend, cunning scheme to determine the direction of the trend on the author's indicator and recalculate the closing point of the branch, depending on the direction of the trend. Well optimized and works on different pairs, of course preferred flat, as for all martingales.
Currently, a distant relative of this EA is being tested on real accounts, the main purpose is to save deposits.
MartinTrend trades in the market every day at certain times. To determine the trend direction, it uses a built-in original indicator on the specified number of bars of the current chart timeframe. After opening a trade, it either opens additional orders with decreased lot sizes, or averaging orders with an increase in the lot. It uses a risky martingale strategy with a constant coefficient of 2 both for decreasing the lot for additional orders and for increasing the lot for averaging. To reduce