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Duminda Athapaththu  

Dear Andre

EA Setting shown in the test is not available on the actual EA. Please Update the EA or send me Settings file.

Thanks Duminda

Andre Tavares  
Duminda Athapaththu:

Dear Andre

EA Setting shown in the test is not available on the actual EA. Please Update the EA or send me Settings file.

Thanks Duminda

Hi, the best EA input settings at your broker coditions (equity amount, spread valeus etc) and timeframe may be obtained by using tha strategy tester optimizer. The best input values at my account may not be the best for your account. Please check the startegy tester optimization mode, I'm quite sure it will ffind the best values for you. But this EA's input values are already optimize for EURUSD, at timeframe M15 and at spread values up to 20. Check some videos about EA optimization, it takes some hours to process the values but it is worth.


Regards,

Andre Tavares

Duminda Athapaththu  
Andre Tavares:

Hi, the best EA input settings at your broker coditions (equity amount, spread valeus etc) and timeframe may be obtained by using tha strategy tester optimizer. The best input values at my account may not be the best for your account. Please check the startegy tester optimization mode, I'm quite sure it will ffind the best values for you. But this EA's input values are already optimize for EURUSD, at timeframe M15 and at spread values up to 20. Check some videos about EA optimization, it takes some hours to process the values but it is worth.


Regards,

Andre Tavares

Dear Andre

I am Talking about Images number 11 and 12. thees images are for  MMM Trader Pro Stochastic PSAR and MA. My purchased product is MMM Trader pro ADX Bolinger MA. As a buyer i always wanted to test your settings posted in results page. Because i want to understand how you did manage to get the results using sittings. This is the whole meaning of posting results with EA settings.

Please check your images Please.

Thanks Duminda

Duminda Athapaththu  

Dear Andre 

I am trying to test your data because in my testing i cant pass 2018.05.18 on back tests. I have ECN account with 0.1 Pips Spread. If you can test this from your end send me a suggestion.

Thanks

Duminda 

Andre Tavares  
Duminda Athapaththu:

Dear Andre

I am Talking about Images number 11 and 12. thees images are for  MMM Trader Pro Stochastic PSAR and MA. My purchased product is MMM Trader pro ADX Bolinger MA. As a buyer i always wanted to test your settings posted in results page. Because i want to understand how you did manage to get the results using sittings. This is the whole meaning of posting results with EA settings.

Please check your images Please.

Thanks Duminda

Good morning,

this EA was tested using the settingg of images 1 and 2, but there are some detail: the broker is XM, the account type is hedge (allows simultaneous pending  positions at the same currency pair) the spread is a little bit low (I guess) and the timeframe 15 and period is the whole month of september/2017.

Thanks for testing it.

Andre Tavares  
Duminda Athapaththu:

Dear Andre 

I am trying to test your data because in my testing i cant pass 2018.05.18 on back tests. I have ECN account with 0.1 Pips Spread. If you can test this from your end send me a suggestion.

Thanks

Duminda 

Ok, I will open a demo account and test it. What is your broker? Please report any error message. Check the voule you are trading.

Your opinion is very important to me.

Duminda Athapaththu  
Andre Tavares:

Ok, I will open a demo account and test it. What is your broker? Please report any error message. Check the voule you are trading.

Your opinion is very important to me.

Dear Andre

I have ECN account with forex time (FXTM) MT5 Flatform. Low spreads (usually from 3 to 6). Liverage 1:1000

Strategy Tester Report
ForexTimeFXTM-Live01 (Build 1816)
Settings
Expert: MMM Trader Pro ADX Bollinger MA
Symbol: EURUSD
Period: M15 (2018.05.01 - 2018.05.26)
Inputs: a=+++++++++++++++++++++++++++++++ General Inputs +++++++++++++++++++++++++++++++++++++++++
TakeAnyProfitOverInDpstCurrcy=80
TakeProfit=2000
StopLoss=240
Volume=0.7
TrailingStop=240
MaxOrders=3
PrecMinCapProprio=true
EquityPercToStopOut=30
MagicNumber=967877
b=++++++++++++++++++++++++++++++ Bad time to trade +++++++++++++++++++++++++++++++++++++++++
StartHour=-3
EndHour=-3
c=++++++++++++++++++++++++++++++ Lot Size Variance Inputs ++++++++++++++++++++++++++++++++++
DoubleLotsOnGain=false
MaxLotSize=1
d=++++++++++++++++++++++++++++++ Indicator's Inputs ++++++++++++++++++++++++++++++++++++++++
pADXPeriod=16
pMaPeriod=95
pShift=1
ppriceApplied=1
pBlgPeriod=1
pBlgDeviation=8
pStrg=1
Broker: FXTM FT Global Ltd.
Currency: USD
Initial Deposit: 1 200.00
Leverage: 1:1000
Results
History Quality: 100% real ticks
Bars: 1 693 Ticks: 2181 419 Symbols:  1
Total Net Profit: -1 083.25 Balance Drawdown Absolute: 1 083.25 Equity Drawdown Absolute: 1 083.25
Gross Profit: 2 952.25 Balance Drawdown Maximal: 1 793.05 (93.89%) Equity Drawdown Maximal: 1 805.30 (93.93%)
Gross Loss: -4 035.50 Balance Drawdown Relative: 93.89% (1 793.05) Equity Drawdown Relative: 93.93% (1 805.30)
Profit Factor:  0.73 Expected Payoff: - 17.76 Margin Level: 49.16%
Recovery Factor: - 0.60 Sharpe Ratio: - 0.13 Z-Score: -2.60 (99.07%)
AHPR: 0.9770 (-2.30%) LR Correlation: - 0.79 OnTester result: 0
GHPR: 0.9625 (-3.75%) LR Standard Error:  283.31
Correlation (Profits,MFE):  0.82 Correlation (Profits,MAE):  0.80 Correlation (MFE,MAE):  0.64
Minimal position holding time: 0:05:22 Maximal position holding time: 13:05:03 Average position holding time: 3:31:32
Total Trades:  61 Short Trades (won %): 28 (75.00%) Long Trades (won %): 33 (48.48%)
Total Deals:  122 Profit Trades (% of total): 37 (60.66%) Loss Trades (% of total): 24 (39.34%)
Largest profit trade:  84.00 Largest loss trade: - 183.75
Average profit trade:  79.79 Average loss trade: - 168.15
Maximum consecutive wins ($): 12 (957.60) Maximum consecutive losses ($): 5 (-861.70)
Maximal consecutive profit (count): 957.60 (12) Maximal consecutive loss (count): -861.70 (5)
Average consecutive wins:  4 Average consecutive losses:  2
Orders

This is the best i got by changing values. Starting at 1200 and Ending because no equity or Higher draw down.

Thanks 

Duminda

Andre Tavares  

Dear Duminda,

do you know how to use the optimizer (image attached) ? 

You'll have to use the optimizer to find the best input values as your broker conditions, account ballance, applied spread, account balance etc.

Please try to optimize, it usally takes about 24 H to process optimization. The default values surely are not goof at your account or broker and account conditions.

But first learn how to use the optimizer, if you don't know how to use it. I'm sure there are some videos at youtube that explain how to use it.

Dateien:
Capturar.PNG  18 kb
Andre Tavares  

But I notice that this input value is wron. It is not boolean, it is number and represents the minimum equity percentage to allow new orders (attached image).

Dateien:
Capturar2.PNG  10 kb
Andre Tavares  
Andre Tavares:

But I noticed that this input value is wrong. It is not boolean, it is number and represents the minimum equity percentage to allow new orders (attached image).

Andre Tavares  
Strategy Tester Report
ForexTimeFXTM-Demo01 (Build 1816)
Settings
Expert: MMM Trader Pro Stochastic PSAR and MA
Symbol: EURUSD
Period: M15 (2017.09.01 - 2017.09.30)
Inputs: a=+++++++++++++++++++++++++++++++ General Inputs +++++++++++++++++++++++++++++++++++++++++
TakeAnyProfitOverInDpstCurrcy=19
TakeProfit=2000
StopLoss=2500
Volume=0.4
TrailingStop=45
MaxOrders=7
PrecMinCapProprio=94
EquityPercToStopOut=80
MagicNumber=969387
b=++++++++++++++++++++++++++++++ Lot Size Variance Inputs ++++++++++++++++++++++++++++++++++
DoubleLotsOnGain=false
MaxLotSize=1.3
d=++++++++++++++++++++++++++++++ Indicator's Inputs ++++++++++++++++++++++++++++++++++++++++
ptf=0
pkPeriod=26
pdPeriod=8
pslowing=1
pmaMethod=1
pstoPrice=0
pShift=6
pSarStep=0.04
pSarMax=0.79
pMaPeriod=29
ppriceApplied=2
e=+++++++++++++++++++++++++++++++ Account Security +++++++++++++++++++++++++++++++++++++++++
StopOutEquityPercent=0
Broker: FXTM FT Global Ltd.
Currency: USD
Initial Deposit: 10 000.00
Leverage: 1:1000
Results
History Quality: 100% real ticks
Bars: 2016 Ticks: 4960534 Symbols: 1
Total Net Profit: 1 255.20 Balance Drawdown Absolute: 2.40 Equity Drawdown Absolute: 4 843.40
Gross Profit: 2 123.60 Balance Drawdown Maximal: 761.40 (6.34%) Equity Drawdown Maximal: 5 068.60 (49.57%)
Gross Loss: -868.40 Balance Drawdown Relative: 6.34% (761.40) Equity Drawdown Relative: 49.57% (5 068.60)
Profit Factor: 2.45 Expected Payoff: 11.11 Margin Level: 1547.51%
Recovery Factor: 0.25 Sharpe Ratio: 0.24 Z-Score: -3.34 (99.74%)
AHPR: 1.0011 (0.11%) LR Correlation: 0.99 OnTester result: 0
GHPR: 1.0010 (0.10%) LR Standard Error: 84.39
Total Trades: 113 Short Trades (won %): 52 (100.00%) Long Trades (won %): 61 (85.25%)
Total Deals: 226 Profit Trades (% of total): 104 (92.04%) Loss Trades (% of total): 9 (7.96%)
Largest profit trade: 168.60 Largest loss trade: -505.60
Average profit trade: 20.42 Average loss trade: -96.49
Maximum consecutive wins ($): 23 (586.00) Maximum consecutive losses ($): 4 (-759.80)
Maximal consecutive profit (count): 586.00 (23) Maximal consecutive loss (count): -759.80 (4)
Average consecutive wins: 17 Average consecutive losses: 2
Duminda Athapaththu  
Andre Tavares:
Strategy Tester Report
ForexTimeFXTM-Demo01 (Build 1816)
Settings
Expert: MMM Trader Pro Stochastic PSAR and MA
Symbol: EURUSD
Period: M15 (2017.09.01 - 2017.09.30)
Inputs: a=+++++++++++++++++++++++++++++++ General Inputs +++++++++++++++++++++++++++++++++++++++++
TakeAnyProfitOverInDpstCurrcy=19
TakeProfit=2000
StopLoss=2500
Volume=0.4
TrailingStop=45
MaxOrders=7
PrecMinCapProprio=94
EquityPercToStopOut=80
MagicNumber=969387
b=++++++++++++++++++++++++++++++ Lot Size Variance Inputs ++++++++++++++++++++++++++++++++++
DoubleLotsOnGain=false
MaxLotSize=1.3
d=++++++++++++++++++++++++++++++ Indicator's Inputs ++++++++++++++++++++++++++++++++++++++++
ptf=0
pkPeriod=26
pdPeriod=8
pslowing=1
pmaMethod=1
pstoPrice=0
pShift=6
pSarStep=0.04
pSarMax=0.79
pMaPeriod=29
ppriceApplied=2
e=+++++++++++++++++++++++++++++++ Account Security +++++++++++++++++++++++++++++++++++++++++
StopOutEquityPercent=0
Broker: FXTM FT Global Ltd.
Currency: USD
Initial Deposit: 10 000.00
Leverage: 1:1000
Results
History Quality: 100% real ticks
Bars: 2016 Ticks: 4960534 Symbols: 1
Total Net Profit: 1 255.20 Balance Drawdown Absolute: 2.40 Equity Drawdown Absolute: 4 843.40
Gross Profit: 2 123.60 Balance Drawdown Maximal: 761.40 (6.34%) Equity Drawdown Maximal: 5 068.60 (49.57%)
Gross Loss: -868.40 Balance Drawdown Relative: 6.34% (761.40) Equity Drawdown Relative: 49.57% (5 068.60)
Profit Factor: 2.45 Expected Payoff: 11.11 Margin Level: 1547.51%
Recovery Factor: 0.25 Sharpe Ratio: 0.24 Z-Score: -3.34 (99.74%)
AHPR: 1.0011 (0.11%) LR Correlation: 0.99 OnTester result: 0
GHPR: 1.0010 (0.10%) LR Standard Error: 84.39
Total Trades: 113 Short Trades (won %): 52 (100.00%) Long Trades (won %): 61 (85.25%)
Total Deals: 226 Profit Trades (% of total): 104 (92.04%) Loss Trades (% of total): 9 (7.96%)
Largest profit trade: 168.60 Largest loss trade: -505.60
Average profit trade: 20.42 Average loss trade: -96.49
Maximum consecutive wins ($): 23 (586.00) Maximum consecutive losses ($): 4 (-759.80)
Maximal consecutive profit (count): 586.00 (23) Maximal consecutive loss (count): -759.80 (4)
Average consecutive wins: 17 Average consecutive losses: 2

Dear Andre

Thank you very much for your support. Please note this image was done using MMM Trader Pro Stochastic PSAR and MA. But my i am using MMM Trader Pro ADX Bolinger MA. If you can please do the test from 2018.5.01 to 2018.05.26 and up load this image.

I am going to learn how to use optimizer.

Thanks

Duminda

Andre Tavares  
Duminda Athapaththu:

Dear Andre

Thank you very much for your support. Please note this image was done using MMM Trader Pro Stochastic PSAR and MA. But my i am using MMM Trader Pro ADX Bolinger MA. If you can please do the test from 2018.5.01 to 2018.05.26 and up load this image.

I am going to learn how to use optimizer.

Thanks

Duminda

Sorry, I will test this one too as soon as I arrive home at night. I have too many products with similar names.

Andre Tavares  
Andre Tavares:

Sorry, I will test this one too as soon as I arrive home at night. I have too many products with similar names.

Hello my friend, sorry for the delay. I tested the product at your broker with an initial balance of  US$ 10000 and used the default input values, ECN account and at timeframe M15. I you use lower initial ballance, you'll have to optimize the inputs marked in yellow with lower values. Check the attatched image. Thanks for the patience. This is the result:

Strategy Tester Report
ForexTimeFXTM-Demo01 (Build 1816)
Settings
Expert:MMM_ADX_Bollinger_MA
Symbol:EURUSD
Period:M15 (2017.09.01 - 2017.09.30)
Inputs:a=+++++++++++++++++++++++++++++++ General Inputs +++++++++++++++++++++++++++++++++++++++++
TakeAnyProfitOverInDpstCurrcy=30
TakeProfit=2000
StopLoss=2500
Volume=0.7
TrailingStop=240
MaxOrders=10
PrecMinCapProprio=50
EquityPercToStopOut=30
MagicNumber=967877
b=++++++++++++++++++++++++++++++ Bad time to trade +++++++++++++++++++++++++++++++++++++++++
StartHour=-1
EndHour=-1
c=++++++++++++++++++++++++++++++ Lot Size Variance Inputs ++++++++++++++++++++++++++++++++++
DoubleLotsOnGain=false
MaxLotSize=10
d=++++++++++++++++++++++++++++++ Indicator's Inputs ++++++++++++++++++++++++++++++++++++++++
pADXPeriod=16
pMaPeriod=95
pShift=1
ppriceApplied=4
pBlgPeriod=1
pBlgDeviation=8
pStrg=1
Broker:FXTM FT Global Ltd.
Currency:USD
Initial Deposit:10 000.00
Leverage:1:1000
Results
History Quality:100% real ticks
Bars:2016Ticks:4960534Symbols:1
Total Net Profit:4 504.50Balance Drawdown Absolute:2.80Equity Drawdown Absolute:513.80
Gross Profit:4 781.70Balance Drawdown Maximal:51.80 (0.36%)Equity Drawdown Maximal:952.00 (9.12%)
Gross Loss:-277.20Balance Drawdown Relative:0.36% (51.80)Equity Drawdown Relative:9.12% (952.00)
Profit Factor:17.25Expected Payoff:27.98Margin Level:1539.69%
Recovery Factor:4.73Sharpe Ratio:4.27Z-Score:-4.40 (99.74%)
AHPR:1.0023 (0.23%)LR Correlation:1.00OnTester result:0
GHPR:1.0023 (0.23%)LR Standard Error:10.81
Total Trades:161Short Trades (won %):76 (100.00%)Long Trades (won %):85 (98.82%)
Total Deals:322Profit Trades (% of total):160 (99.38%)Loss Trades (% of total):1 (0.62%)
Largest profit trade:39.90Largest loss trade:-51.80
Average profit trade:29.89Average loss trade:-277.20
Maximum consecutive wins ($):160 (4 781.70)Maximum consecutive losses ($):1 (-51.80)
Maximal consecutive profit (count):4 781.70 (160)Maximal consecutive loss (count):-51.80 (1)
Average consecutive wins:160Average consecutive losses:1




Dateien:
Capturar.PNG  56 kb
Duminda Athapaththu  
Andre Tavares:

Hello my friend, sorry for the delay. I tested the product at your broker with an initial balance of  US$ 10000 and used the default input values, ECN account and at timeframe M15. I you use lower initial ballance, you'll have to optimize the inputs marked in yellow with lower values. Check the attatched image. Thanks for the patience. This is the result:

Strategy Tester Report
ForexTimeFXTM-Demo01 (Build 1816)
Settings
Expert:MMM_ADX_Bollinger_MA
Symbol:EURUSD
Period:M15 (2017.09.01 - 2017.09.30)
Inputs:a=+++++++++++++++++++++++++++++++ General Inputs +++++++++++++++++++++++++++++++++++++++++
TakeAnyProfitOverInDpstCurrcy=30
TakeProfit=2000
StopLoss=2500
Volume=0.7
TrailingStop=240
MaxOrders=10
PrecMinCapProprio=50
EquityPercToStopOut=30
MagicNumber=967877
b=++++++++++++++++++++++++++++++ Bad time to trade +++++++++++++++++++++++++++++++++++++++++
StartHour=-1
EndHour=-1
c=++++++++++++++++++++++++++++++ Lot Size Variance Inputs ++++++++++++++++++++++++++++++++++
DoubleLotsOnGain=false
MaxLotSize=10
d=++++++++++++++++++++++++++++++ Indicator's Inputs ++++++++++++++++++++++++++++++++++++++++
pADXPeriod=16
pMaPeriod=95
pShift=1
ppriceApplied=4
pBlgPeriod=1
pBlgDeviation=8
pStrg=1
Broker:FXTM FT Global Ltd.
Currency:USD
Initial Deposit:10 000.00
Leverage:1:1000
Results
History Quality:100% real ticks
Bars:2016Ticks:4960534Symbols:1
Total Net Profit:4 504.50Balance Drawdown Absolute:2.80Equity Drawdown Absolute:513.80
Gross Profit:4 781.70Balance Drawdown Maximal:51.80 (0.36%)Equity Drawdown Maximal:952.00 (9.12%)
Gross Loss:-277.20Balance Drawdown Relative:0.36% (51.80)Equity Drawdown Relative:9.12% (952.00)
Profit Factor:17.25Expected Payoff:27.98Margin Level:1539.69%
Recovery Factor:4.73Sharpe Ratio:4.27Z-Score:-4.40 (99.74%)
AHPR:1.0023 (0.23%)LR Correlation:1.00OnTester result:0
GHPR:1.0023 (0.23%)LR Standard Error:10.81
Total Trades:161Short Trades (won %):76 (100.00%)Long Trades (won %):85 (98.82%)
Total Deals:322Profit Trades (% of total):160 (99.38%)Loss Trades (% of total):1 (0.62%)
Largest profit trade:39.90Largest loss trade:-51.80
Average profit trade:29.89Average loss trade:-277.20
Maximum consecutive wins ($):160 (4 781.70)Maximum consecutive losses ($):1 (-51.80)
Maximal consecutive profit (count):4 781.70 (160)Maximal consecutive loss (count):-51.80 (1)
Average consecutive wins:160Average consecutive losses:1




Dear Andre

Thanks. I will relative calculations and proceed with optimization. Will update you on the progress.

Thanks again

Duminda

Nur Nutzer, die das Produkt gekauft oder gemietet haben, können Kommentare hinterlassen