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There is a variant of this indicator, called intra-bar analysis of market conditionshttps://www.mql5.com/ru/forum/214529/page26
But let me put it this way ... He counts ticks so? And every broker may have a different number of ticks on the same candle and what will happen as a result? In the end the indicator may give different readings at different brokers in the end ...
Hi there ! )
Yusuf, could you please let me know the euro/dollar forecast on your wonderful indicator ?
I will give you the Euro/Dollar Forecast in your wonderful indicator. Thanks!
Trial run of the Expert Advisor with one order from 2000, lot 0.01, TF D1, Euro/Dollar, Indicator DA(500):
Yes, and it was said about it, a small profit can be squeezed out, but it's not worth the trouble...
Yes, and it's been said, a small profit can be squeezed out, but it's not worth the effort...
file:///C:/Program%20Files/Terminals/MetaTrader%20-%20E-Global%20Trade%20&%20Finance%20Group%20PAMM%20CENT/StrategyTester.htm
TF D1, since 2000, constant lot 0.01, period DA(500):
Bars in history 6080
Modelled ticks 11158
Modeling quality n/a
Chart mismatch errors 0
Initial deposit 10000.00
Spread Current (2)
Net profit 25884.05
Total profit 69631.12
Total Loss -43747.06
Profitability 1.59
Expected payoff 5.10
Absolute drawdown 836.47
Maximum drawdown 3518.41 (11.74%)
Relative drawdown 26.81% (3356.27)
Total trades 5079
Short Positions (% of Winners) 1696 (66.80%)
Long positions (% win) 3383 (76.62%)
Profitable trades (% of all) 3725 (73.34%)
Profitable trades (% of all) 1354 (26.66%)
Largest
profitable transaction 20.67
Deal with a loss -45.71
Average
profitable deal 18.69
Loss trade -32.31
Maximum number
continuous wins (profit) 185 (3421.65)
Continuous Losses (Loss) 51 (-1073.14)
Max.
Continuous Profit (number of wins) 3421.65 (185)
Continuous loss (number of losses) -1574.37 (40)
Average
continuous gain 24
continuous loss 9
file:///C:/Program%20Files/Terminals/MetaTrader%20-%20E-Global%20Trade%20&%20Finance%20Group%20PAMM%20CENT/StrategyTester.htm
TF D1, since 2000, fixed lot 0.01, period DA(500).
Yes, that's about how it should be(and a little better). If not already in use, add to the signals:
for Buy - close < open, for Sell - close > open. Then throw it away, it's not worth the trouble...
Yusuf!
Hi there!
If you don't mind, what's the forecast for the euro?
Thank you!
file:///C:/Program%20Files/Terminals/MetaTrader%20-%20E-Global%20Trade%20&%20Finance%20Group%20PAMM%20CENT/StrategyTester.htm
TF D1, since 2000, constant lot 0.01, period DA(500):
Bars in history 6080
Modelled ticks 11158
Modeling quality n/a
Chart mismatch errors 0
Initial deposit 10000.00
Spread Current (2)
Net profit 25884.05
Tell me Yousuf,
from your mathematical and physical-realistic point of view,
what will happen to the market when everyone will trade by your indicator?
How do you think the market will fluctuate?
Won't your indicator kill the whole global market?
Tell me Yousuf,
from your mathematical and physical-realistic point of view,
what will happen to the market when everyone trades on your indicator?
How do you think the market will fluctuate?
Won't your indicator kill the entire global market?
Of course, it will. Not the indicator, but the stupidity. Imagine that all will be, as if by order, at one moment only buy, and then all together only sell. What would happen? - There will be no deals. The orders to open positions will just "hang there". There will be no one on the opposing side to sell or buy.
the ANB website had similar information yesterday as well