Tester charts of future championship participants - page 26

 
Parabellum писал (а) >>
How about increasing the quality of the modelling?

on m1 the modelling quality cannot be higher than 25%

 
k005 писал (а) >>

how beautiful on paper, but tortured by gullies))))))))



Total trades 1229 Short positions (won %) 651 (80.65%) Long positions (won %) 578 (84.43%)
Profit trades (% of total) 1013 (82.42%) Loss trades (% of total) 216 (17.58%)
Largest profit trade 1000.00 loss trade -1850.00

i.e. the maximum profit is 20 pips with a max order of 5 lots

and stoploss is 38 pips.

 
Serg_ASV >> :

i.e. the maximum profit is 20 pips with a max order of 5 lots

and stop loss 38 pips.

such a strategy

 

Over-optimised and with a very aggressive mm.

 

What does it work on, if it's not a secret?

 
bstone писал (а) >>


Yeah, I'd work on mine for a month or two more too :) But it's like renovation, you can only stop. By the way, there's a silver lining: next year's creation will most likely be ready.

Don't be fooled.

 
Mishell писал (а) >>

Do not be deceived.

Mishell wrote (a) >>

Don't be deceived.

I kind of got your point the first time. You could have avoided repeating yourself. But I note that you missed the point of my reply as you took it out of context.

 

trddiv

MetaQuotes-Demo (Build 218)

Symbol

EURUSD (Euro vs US Dollar)

Period

30 Minutes (M30) 2008.01.02 09:00 - 2008.08.19 23:30 (2008.01.01 - 2008.08.20)

Model

Every tick (the most precise method based on all available minimum timeframes)

Parameters

Lots=0.1; MaximumRisk=0.02; DecreaseFactor=3; StopLoss=150; TakeProfit=0; dADX0=65; cADX0=30; adx55step=30; Bulls100=0.041; MaxStopSellonDn=25; MinStSellonDn=53; cWaveTopNum=12; dWaveTopNum=8; dMinTp=600; Days=5; OrderNum=3; MainOrderNum=2; LocalOrderNum=2; LocalOrderNum1=3; VarOrderNum=1; Boundary=0.5; Spips=25; Bpips=0; shift=0; shiftDn=1; D=150; add=25;

Bars in test

8835

Ticks modelled

1560779

Modelling quality

90.00%

Mismatched charts errors

0

Initial deposit

10000.00

Total net profit

471871.67

Gross profit

510070.89

Gross loss

-38199.22

Profit factor

13.35

Expected payoff

7042.86

Absolute drawdown

1649.60

Maximal drawdown

30002.00 (11.19%)

Relative drawdown

27.91% (10817.31)

Total trades

67

Short positions (won %)

28 (85.71%)

Long positions (won %)

39 (74.36%)

Profit trades (% of total)

53 (79.10%)

Loss trades (% of total)

14 (20.90%)

Largest

profit trade

39766.00

loss trade

-5133.50

Average

profit trade

9623.98

loss trade

-2728.52

Maximum

consecutive wins (profit in money)

13 (133757.50)

consecutive losses (loss in money)

4 (-16851.00)

Maximal

consecutive profit (count of wins)

133757.50 (13)

consecutive loss (count of losses)

-16851.00 (4)

Average

consecutive wins

5

consecutive losses

1

 
sergindo писал(а) >>

What does it work on, if you don't mind me asking?

Kind of a scalper. GBPUSD5.

 
Mishell писал(а) >>

trddiv

MetaQuotes-Demo (Build 218)

Symbol

EURUSD (Euro vs US Dollar)

Period

30 Minutes (M30) 2008.01.02 09:00 - 2008.08.19 23:30 (2008.01.01 - 2008.08.20)

Model

Every tick (the most precise method based on all available minimum timeframes)

Parameters

Lots=0.1; MaximumRisk=0.02; DecreaseFactor=3; StopLoss=150; TakeProfit=0; dADX0=65; cADX0=30; adx55step=30; Bulls100=0.041; MaxStopSellonDn=25; MinStSellonDn=53; cWaveTopNum=12; dWaveTopNum=8; dMinTp=600; Days=5; OrderNum=3; MainOrderNum=2; LocalOrderNum=2; LocalOrderNum1=3; VarOrderNum=1; Boundary=0.5; Spips=25; Bpips=0; shift=0; shiftDn=1; D=150; add=25;

Bars in test

8835

Ticks modelled

1560779

Modelling quality

90.00%

Mismatched charts errors

0

Initial deposit

10000.00

Total net profit

471871.67

Gross profit

510070.89

Gross loss

-38199.22

Profit factor

13.35

Expected payoff

7042.86

Absolute drawdown

1649.60

Maximal drawdown

30002.00 (11.19%)

Relative drawdown

27.91% (10817.31)

Total trades

67

Short positions (won %)

28 (85.71%)

Long positions (won %)

39 (74.36%)

Profit trades (% of total)

53 (79.10%)

Loss trades (% of total)

14 (20.90%)

Largest

profit trade

39766.00

loss trade

-5133.50

Average

profit trade

9623.98

loss trade

-2728.52

Maximum

consecutive wins (profit in money)

13 (133757.50)

consecutive losses (loss in money)

4 (-16851.00)

Maximal

consecutive profit (count of wins)

133757.50 (13)

consecutive loss (count of losses)

-16851.00 (4)

Average

consecutive wins

5

consecutive losses

1

I recognise last year's competitor!

Reason: