Deriv Bot
- Uzman Danışmanlar
- Tshivhidzo Moss Mbedzi
- Sürüm: 1.0
- Etkinleştirmeler: 15
Finally a robot that actually works any day and every day! NEXT PRICE $564
This expert adviser was designed specifically for Volatility 75, BOOM1000 index (VIX75), also shows outstanding results on other forex pairs and indexes with tight spreads.
The key features of our AI-based Deriv Robot include an AI-based trading strategy, moving averages and lot management functions, support for VIX75, BOOM1000, and CRASH 1000 markets, and a set file and other support for optimal performance.
To use our AI-based Deriv Robot, simply attach it to a chart of the desired market and set the appropriate inputs for the moving averages and lot management functions. The robot will then analyze market data and execute trades based on its artificial intelligence-based strategy.
For Volatility 75 index best is to keep minimum $1000 on account with a minimum initial order size of 0.001. If you double the account balance you can also double initial order size, which will double your returns. And so on..
For VIX75 markets, the robot uses the following settings: a minimum account size of 1000, a lot size of 0.01, EMA (Moving Average) of 2, candle ID of 1, stop loss of 123443, take profit of 345, maximum lots of 0.89, blue setting of 10, red setting of 95, and a take profit money setting of 100.joint he telegram group link in comments. or use this one for set files https://t.me/derivbotbuy
How to configure and optimize in Strategy Tester:
Strategy Tester settings:
get set files in the comments
Symbol: Volatility 75s (or any other with tight spread)
Timeframe: M1 and above
Date: Custom period (last 30-90 days)
Forward: No
Delay: 50ms (or whichever is your ping to your server)
Modelling: Every tick based on real ticks
Deposit: 1000 (your balance that you will start trading on your real account. Quality of optimization depends on it)
Leverage: 1:500 (or whichever is leverage on your real account)
Optimization: Slow complete algorithm - Complex Criterion max
Optimization Results:
Sort your optimization results by "Result" column. The topmost row is usually your best robot configuration.
Note: Sharpe ratio are not correct due to the math logic behind this expert adviser, so you can completely ignore Sharpe ratio here.
Example inputs for optimization:
Symbol: Volatility 75
Date: Custom (past 90 days)
Balance: 1000
Withdraw: True
Minimum profit: 1
Lot: 0.001
Timeframe: 15 Minute
Results: You will most likely come up with $6000-$9000 profit for these 90 days at maximum average %10-%20 drawdown.
Keep in mind that market conditions constantly change, thus you need to keep your expert adviser settings updates on daily-weekly basis based on your current balance. My live account balance grows every day, thus I run strategy tester every day to keep my robot settings updated for the most efficient conditions for my balance against market conditions.