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I haven't had it for over a month.... I'm running out of money in the tester! :)
try the same thing for several months in a row, without reconfiguring the parameters and with a constant lot and across multiple pairs.
Pound/Aud has been more modest since the beginning of 2013:
There are 1580 bars in the history
2157 ticks simulated
Modeling quality n/a
Chart mismatch errors 0
Initial deposit 10000.00
Spread Current (205)
Net profit 7653.03
Total profit 11232.36
Total loss -3579.33
Profitability 3.14
Expected payoff 13.72
Absolute drawdown 5168.11
Maximum drawdown 6957.34 (59.01%)
Relative drawdown 59.01% (6957.34)
Total trades 558
Short positions (% win) 328 (75.30%)
Long positions (% win) 230 (75.22%)
Profitable trades (% of all) 420 (75.27%)
Loss trades (% of all) 138 (24.73%)
Largest
largest profitable trade 81.70
losing trade -120.45
Average
profitable deal 26.74
losing trade -25.94
Maximum number
continuous wins (profit) 71 (2226.01)
Continuous losses (loss) 36 (-2550.03)
Maximum
Continuous Profit (number of wins) 2226.01 (71)
Continuous loss (number of losses) -2550.03 (36)
Average
continuous winnings 16
Continuous loss 5
As long as you look at GBPNZD, I will do any pair you point at.
Pound/Aud has fared more modestly since the start of 2013:
I haven't had it for over a month.... I'm running out of money in the tester! :)
PS: I have a multi-currency, it's about a few pairs.
Euro/Cad, since early 2013:
Bars in history 1,580
2157 ticks modelled
Modeling quality n/a
Chart mismatch errors 0
Initial deposit 1000.00
Spread Current (80)
Net profit 1224.41
Total profit 3159.68
Total loss -1935.27
Profitability 1.63
Expected payoff 2.12
Absolute drawdown 472.66
Maximum drawdown 629.97 (54.43%)
Relative drawdown is 54.43% (629.97)
Total trades 578
Short positions (% win) 292 (56.85%)
Long positions (% win) 286 (72.38%)
Profitable trades (% of all) 373 (64.53%)
Loss trades (% of all) 205 (35.47%)
Largest
profitable trade 37.45
losing trade -35.91
Average
profitable deal 8.47
losing deal -9.44
Maximum number
continuous wins (profit) 41 (347.34)
Continuous losses (loss) 20 (-251.39)
Maximum
Continuous Profit (number of wins) 347.34 (41)
Continuous loss (number of losses) -253.18 (11)
Average
continuous gain 9
Continuous loss 5
In principle, all these tests sound convincing.
It's time to finally pay attention to the indicator.
Not for me, okay? I have a very simple one of my own, with only "+" and "-". Principle: EUR/USD=EUR-USD.
Basically all these tests sound convincing.
Relative drawdown 63.38% (1729.58). And there is nothing like that on the chart.
Basically notice that for example on GBPNZD it says: max drawdown 4860.22 (56.87%).
Relative drawdown 63.38% (1729.58). And there's nothing like that on the chart.