Portfolio: PriceChannelExpert and others - page 13

 
Tamershahin:
This is not 145pips because it is not 0.1 lots for all trades.... we have to be careful. PS I am still optimizing Stepenvelope

It is 145 pips (not in deposit currency).

Forward statement.

And it does not matter which lot size because it is pips.

It is not normal statement. It is the statement generated by scripts to get the pips from forward testing results.

 
newdigital:
It is 145 pips (not in deposit currency).

Forward statement.

And it does not matter which lot size because it is pips.

It is not normal statement. It is the statement generated by scripts to get the pips from forward testing results.

Oops

Yes I looked at it now... I thought it was dollar profit but it is pips!

I editted the first message

 
newdigital:
One day testing results of PriceChannelExpert_v4 and TradersPowerExpert_v1.2 in one Metatrader. H1 timeframe.

And one day testing results of SimpleDailyRangeBreakExpert_v1.21, H1 timeframe.

145 pips just in one day.

Please note that we are doing/desiging the post #119.

Edited... because I was apparently asleep when I wrote this the first time!

PS I am still optimizing Stepenvelope

 

145 pips or 498 in deposit currency (attached).

e_Monday did some profit in this Monday: all two orders were closed in profit.

About 100 pips (or about 80 i don't remember) totally.

Files:
 
newdigital:
145 pips or 498 in deposit currency (attached).

e_Monday did some profit in this Monday: all two orders were closed in profit.

About 100 pips (or about 80 i don't remember) totally.

Yes and last monday was profitable too... about 80pips for eurusd only last week...

 
Tamershahin:
Yes and last monday was profitable too... about 80pips for eurusd only last week...

I spent whole day downloading the M1 data since 2001 till now converting everything by converted scripts. I optimized the settings for StepEnvelope for EURUSD and GBPUSD. Not very good but profitable: profit factor 1.27 and 1.26 (if i remember). M15 timeframe. Will post the statements tomorrow (it is 8 mb each). And it is almost the same settings with Envelope 2.11 (pre-set file for Envelope_v2.11). Only StepSize is 50 and deviation is 2 (timeopen 0, EnvTimeFrame 0, EMAMethod 1 and so on).

I know that there is the other envelope EA for M5 timeframe (it is somewhere in this public forum). As I emember this old Envelope for M5 is acting as scalper. I will look at this tomorrow just to apply those M5 settings to this StepEnvelope. May be it will be profitable because of step.

 
newdigital:
I just want to re-mind to myself about this post https://www.mql5.com/en/forum/173748/page3

It is about FXAnt 1.3 EA for H1 timeframe. I don't think that this EA will be profitable every year. But it was very good for some pairs.

And Igorad made BBExpert_v1 EA and it should be optimized as well. Will try to do it during a week.

I am still optimizing the settings for StepEnvelope. Almost finishing. It was more difficult than I expected.

After that I will correct the post #119.

 

Hi, I would like to test the e monday EA next week but can only find rar on the forum, does anyone have the e monday

EA that they can post here? Many thanks

 
goldensight:
Hi, I would like to test the e monday EA next week but can only find rar on the forum, does anyone have the e monday EA that they can post here? Many thanks

I just checked e-Monday once again (it is on the post #119):

it is zip archive. Not rar. Zip. Everybody is having Winzip.

I attached it once again now.

Files:
e-monday.zip  4 kb
 

StepEnvelope_v1

StepEnvelope_v1.

I tried to optimize the settings for EUSAUD, EURCAD, EURUSD, GBPUSD, USDCAD, USDCHF, USDJPY, GBPJPY and EURJPY.

But only 6 pairs were profitable.

So please find attached pre-set files for these 6 pairs, EA with indicator and backtesting results.

EURUSD.

M15 timeframe.

Preset file attached.

0.1 lot size.

No MM.

Every tick, modeling quality 90%,

since 15/01/2001 till 17/05/2006,

Average Profit per 0.1 lots = 54.48

Average Loss per 0.1 lots = 36.93

Profit factor 1.27.

Total trades: 1178.

Total net profit: 6402.68

GBPUSD.

M15 timeframe.

Preset file attached.

0.1 lot size.

No MM.

Every tick, modeling quality 90%,

since 15/01/2001 till 17/05/2006,

Average Profit per 0.1 lots = 40.92

Average Loss per 0.1 lots = 28.21

Profit factor 1.23.

Total trades: 1896.

Total net profit: 6585.03

USDJPY.

M15 timeframe.

Preset file attached.

0.1 lot size.

No MM.

Every tick, modeling quality 90%,

since 15/01/2001 till 17/05/2006,

Average Profit per 0.1 lots = 38.84

Average Loss per 0.1 lots = 26.20

Profit factor 1.18.

Total trades: 1779.

Total net profit: 4577.18

USDCHF.

M15 timeframe.

Preset file attached.

0.1 lot size.

No MM.

Every tick, modeling quality 90%,

since 15/01/2001 till 16/05/2006,

Average Profit per 0.1 lots = 69.98

Average Loss per 0.1 lots = 50.71

Profit factor 1.30.

Total trades: 347.

Total net profit: 2680.72

GBPJPY.

M15 timeframe.

Preset file attached.

0.1 lot size.

No MM.

Every tick, modeling quality 90%,

since 21/06/2004 till 17/05/2006,

Average Profit per 0.1 lots = 77.82

Average Loss per 0.1 lots = 84.45

Profit factor 1.41.

Total trades: 374.

Total net profit: 5088.68

EURJPY.

M15 timeframe.

Preset file attached.

0.1 lot size.

No MM.

Every tick, modeling quality 90%,

since 21/06/2004 till 17/05/2006,

Average Profit per 0.1 lots = 67.71

Average Loss per 0.1 lots = 42.47

Profit factor 1.20.

Total trades: 632.

Total net profit: 3130.66

Reason: