Volatility Expansion system! - page 10

 

The same EA with MM.

EURUSD

H1 timeframe

Pre-set file with MM (attached to the previous post)

1 lot in pre-set (but actually EA started with 0.7).

06/10/2004 till 26/04/2006

Every tick, modelling quality 90%

Starting deposit 5,000

Total net profit 25,150

Profit factor 1.58

Total trades 163

EURUSD

H1 timeframe

Pre-set file with MM (attached to the previous post but timezone was changed to 2)

1 lot in pre-set (but actually EA started with 0.7).

06/10/2004 till 26/04/2006

Every tick, modelling quality 90%

Starting deposit 5,000

Total net profit 25,150

Profit factor 1.58

Total trades 163

EURUSD

H1 timeframe

Pre-set file with MM (attached to the previous post)

1 lot in pre-set (but actually EA started with 0.7).

09/01/2001 till 11/11/2005

Every tick, modelling quality 90%

Starting deposit 5,000

Total net profit 95,915

Profit factor 1.46

Total trades 493

EURUSD

H1 timeframe

Pre-set file with MM (attached to the previous post but timezone was changed to 2)

1 lot in pre-set (but actually EA started with 0.7).

09/01/2001 till 11/11/2005

Every tick, modelling quality 90%

Starting deposit 5,000

Total net profit 324,844

Profit factor 1.37

Total trades 491

 

It was EURUSD.

Please find pre-set files (and statements) for USDCHF, USDJPY and GBPUSD.

 
newdigital:
Pre-set file without MM (attached but timezone was changed to 2)

Does this mean trades are set at 02.00 GMT?

Thanks.

Hans

 
Hans123:
Does this mean trades are set at 02.00 GMT?

Thanks.

Hans

at 2, yes.

But GMT or not I don't know.

What is the time in strategy tester?

Broker's server time?

If yes so it is 02 am broker server time.

I used alpari data for backtesting.

Alpari is GMT +2. North Finance is GMT +3.

This time is affected on the tme of new daily bar opened/closed.

But this daily bar is opened/closed according to the broker's server time also.

So I don't know.

2 means it will be sell stop/buy stop orders at 02 am (server time). 2 am in Alpari is 00:00 GMT.

May be I am wrong.

 

Hi,

TimeZone equal difference between order's open time and broker's server time.

Igor

 

Why did this system die? Did someone figure out it was not profitable in the long run? I have been using it live for 2 weeks and it has done well. Can you let me know?

 
mikejody:
Why did this system die? Did someone figure out it was not profitable in the long run? I have been using it live for 2 weeks and it has done well. Can you let me know?

Not die. I am testing it in elite section. Please see some results:

32. SimpleDailyRangeBreakExpert_v1.21 (SBS EA).

H1 timeframe.

Alpari broker.

EURUSD: pips this week 191; pips in total 334 (May 2006).

GBPUSD: pips this week 408; pips in total 840 (May 2006).

USDJPY: pips this week 14; pips in total -203 (May 2006).

USDCHF: pips this week 100; pips in total 255 (May 2006).

+1226 pips in total since May 2006.

 
newdigital:
Not die. I am testing it in elite section. Please see some results:

32. SimpleDailyRangeBreakExpert_v1.21 (SBS EA).

H1 timeframe.

Alpari broker.

EURUSD: pips this week 191; pips in total 334 (May 2006).

GBPUSD: pips this week 408; pips in total 840 (May 2006).

USDJPY: pips this week 14; pips in total -203 (May 2006).

USDCHF: pips this week 100; pips in total 255 (May 2006).

+1226 pips in total since May 2006.

Thank you. I trade this system manually, just using the indicator itself. I open all trades at 5:00 PM ET and close at 4:59 PM the next day. I use this on 10 currencies (all the low spread ones) and have been profitable trading it live for the past 2 weeks.

Can you tell me if the EA uses the same parameters of the 70/50 of the previous day?

 
newdigital:
The same EA with MM.

Hi

wht do u mean by with MM and without MM?

thnx

 
kevmcfoster:
Hi

wht do u mean by with MM and without MM?

thnx

'With MM' means 'with money management'. It means that lot size is increasing automatically using one of the version of this MM (there are a lot of vesions of this MM but in this EA was realize just one of the version).

Igorad wrote in the settings of the following:

MM_Parameters = " MoneyManagement by L.Williams ";

MM=false; // ММ Switch

MMRisk=0.15; // Risk Factor

LossMax=1000; // Maximum Loss by 1 Lot
Reason: