Version 5.7
2022.07.12
- The only change has been that the default setting is now the recommended setting with a stable risk/benefit.
Version 5.6
2022.07.01
- THERE HAVE BEEN NO CHANGES IN STRATEGIES/RESULTS.
- The old lots/risk recommendations have been removed and new lots management methods have been incorporated.
Version 5.5
2022.05.17
- Panel minor bugfix.
Version 5.4
2022.05.10
- Bug fixes.
- New working pairs: EURAUD, EURGBP, EURUSD, GBPUSD, NZDUSD, USDCAD.
Version 5.3
2022.05.07
- Completely redesigned panel. Displays much more information.
- Re-optimised pairs: AUDUSD, EURUSD, GBPUSD, NZDUSD, USDCAD, USDCHF.
- Remarkably substantial changes in terms of early recovery in a long cycle.
Version 5.2
2022.03.23
- It is now possible to select pairs.
Version 5.1
2022.03.22
- USDJPY has been removed.
- The number of trades has been increased by 570%.
- All pairs have been re-optimized.
- Code debugging tasks.
Version 5.0
2022.02.21
- The panel has undergone a major refurbishment. It now shows more information and bugs have been fixed.
- The EA now works with 6 pairs and all of them can be activated/deactivated at the user's choice so that he/she can create his/her own portfolio if desired.
- The pairs have been reoptimized. Profits have almost doubled with the same DD and the number of trades, Sharpe ratio, Recovery factor, etc. have been increased.
Version 4.9
2021.11.16
- Portfolio: AUDUSD, EURUSD, GBPUSD, USDCHF, USDJPY.
- Removed the use of a soft martingale. You can still use it if you wish but it is not recommended.
Version 4.8
2021.11.14
- Parameters related to martingale are now visible. Please adapt these values to your account balance after testing with real ticks in the tester. These values could blow up your account if you do not perform a thorough study.
Version 4.7
2021.11.14
- The EA now works simultaneously (multi-symbol) on the following pairs: AUDUSD, EURUSD, GBPUSD, GBPUSD, USDCAD, USDCHF.
- Closing of trades is now instantaneous upon reaching the TP and no longer within working hours.
- Introduced a martingale (soft) recovery system that is only triggered when a certain number of trades/steps is reached. This causes a faster exit the longer the cycle is.
- Added a parameter to add a suffix to the pair name. For example; EURUSD.m
- Added a drawdown simulator so that in the strategy tester you can analyse the real impact of drawdown.
- Even more minimalist EA configuration.
Version 4.6
2021.09.28
- Fixed a small bug related to the indicators with no negative effects on the strategy. (Initialisation error)
Version 4.5
2021.09.25
- New sets added: AUDUSD, GBPUSD, USDCAD.
- Removed sets: EURAUD, EURCAD, EURGBP, EURJPY (Please activate in version 4.4 that no more cycles are opened and when they are closed upgrade to this new version 4.5. Otherwise the trades on the deleted pairs will not be handled by the EA).
- New lot selection modes: Low, Medium and High risk.
- Now the TP does not depend on "working hours" of the EA's strategy. Tick by tick it will be monitored and as soon as it is reached it will be executed. Note that this implies that you must use "Every tick based on real ticks" in the tester, otherwise (OHLC M1, etc) you will get inaccurate results.
- The time range in which the EA strategies have been optimised and statistically analysed has been extended from 2016>Current to 2012>Current gaining >65% more statistical reliability (6 vs 10 years).
Version 4.4
2021.06.11
- Reintroduced the gold set from version 3.8.
- New parameters:
Opening BUY Trades: ON/OFF
Opening SELL Trades: ON/OFF
Version 4.3
2021.05.09
- Corrected sets.
- Added "Profit Closing Total" function.
Version 4.2
2021.05.08
- Debugging and minor corrections.
- Re-optimisation of sets.
Version 4.1
2021.04.19
- Eliminated the function '' Total closure if account is in BE '.
Version 4.0
2021.04.16
- EURAUD, EURCAD, EURGBP and EURUSD have been re-optimized.
- Added 2 new sets with negative correlation with respect to the pairs already existing in previous versions; EURJPY and USDJPY.
- Now the profit in the panel shows the profit taking into account the swap (profit+swap).
- Added a new parameter 'Total closure if account is in BE'. Closes all trades regardless of symbol, magic number and whether they are manual trades, so use with caution. When the account reaches BE (profit+swaps=0) all trades will be closed.
Version 3.9
2021.04.12
- Due to the large difference in results between different brokers we are reverting to the previous version 3.7. Sorry for the inconvenience.
Version 3.8
2021.04.11
- Revised commissions/swaps recovery function.
- EURAUD, EURCAD, EURGBP and EURUSD have been re-optimized to fit the new commission/swaps recovery formula.
- Added 2 new sets with negative correlation with respect to the pairs already existing in previous versions; EURJPY and USDJPY.
Version 3.7
2021.01.30
- Optimization and substantial improvement of strategies.
Version 3.6
2021.01.25
- Slight change in the default configuration. Strategies/sets are not affected.
Version 3.5
2021.01.24
- Code debugging.
Version 3.4
2021.01.24
- Minor fix on panel.
Version 3.3
2021.01.24
- All sets and strategies have been revised.
- Added the EURAUD pair.
- Now the EA automatically distinguishes between 2 and 3 digit gold, so you no longer have to choose a specific set. The same with the percentage of the balance.
Version 3.2
2021.01.22
- Including the gold set (PS Goldfighter EA MT5).
- Changes in the choice of the lots.
Version 3.1
2020.11.29
- Minor fix related to Magic Number.
Version 3.0
2020.11.29
- Added two sets: EURCAD & EURGBP
- Added the automatic mode for the selection of the Magic Number, but there is the possibility to set it manually.
- Now 'Balance % Managed by the EA' can be set manually and not by a fixed value (drop-down list).
- Added 'Balance For Every 0.01 Lots' in 'Lots Calculation Mode'.
- Removed 'Close/Stop/Push Notif.' from 'DD Mode' parameter.
- It is now possible to select an amount in the withdrawal simulator of the strategy tester.
- Changes in the panel information.
- Optimization of DD, Balance/Equity Managed calculations.
- Code optimization and debugging for MetaTrader 5 build 27.15.
Version 2.9
2020.11.09
- Fixed minor panel bug.
Version 2.8
2020.10.18
- It is now possible to select the balance sheet that the EA will manage.
- It is now possible to see on the panel the working hours of the EA.
- Added new notifications based on DD.
- Restructuring of the panel and inputs.
Version 2.7
2020.10.11
- Only one internal set.
Version 2.6
2020.10.10
- Set 2 deleted until further notice. (Thanks John!)
Version 2.5
2020.10.10
- Renamed the set 'Conservative' by "Style 1 (Previous v2.4)".
- Replaced the 'Scalping' set with a higher performance set called "Style 2 (New)".
- Redefined the lots selection.
Version 2.4
2020.09.29
- New parameter 'Sets': Conservative (the set used up to this version) and Scalping. You can make use of the 'OHLC M1' modeling in the tester to roughly determine lots / risk, but as a last check use 'Every tick based on real ticks' for safety and accuracy.
Version 2.3
2020.09.27
- New restructuring of parameters. Refresh your .set files.
- New strategy based on closing / opening of candles, so it should work in most brokers. The price of EURUSD is quoted the same way in all brokers, so if your strategy tester gives bad results it is because your broker provides a poor quality price history. For greater security I continue to recommend the use of IC Markets.
- Fewer trades, but the same profit / drawdown ratio and higher Sharpe ratio compared to the previous strategy. Please be patient. Trading is a long-distance race.
Version 2.2
2020.09.24
- The selection of the broker is no longer necessary.
Version 2.1
2020.09.22
- Now compatible with the FP Market broker.
Version 2.0
2020.09.20
- Removed the GBPUSD symbol. Now it only works with EURUSD.
- Added the parameter 'DD Closing Mode' (more info in the product description)
- Added a parameter for the selection of the Broker. (More brokers will be added in future updates)
- Minor corrections and changes in the ordering of the parameters.
Version 1.9
2020.09.12
- Improved Stop Loss. Now even tighter based on a 5 year statistic. (It is never executed, it is only a security measure)
Version 1.8
2020.09.11
- Now also valid for IC Markets SC (Seychelles).
Version 1.7
2020.09.08
- Important update; New EURUSD and GBPUSD strategies. Lower risk and more profit.
Version 1.6
2020.08.29
- New arrangement of information on the panel.
Version 1.5
2020.08.27
- Now you can change the font type and font size in two new inputs.
Version 1.4
2020.08.24
- New input 'Symbol'. Now the EA incorporates a new set 'GBPUSD'. Open a new window with the GBPUSD symbol and select the GBPUSD set. Take special care to select the corresponding set with the symbol you are going to work with.
Version 1.3
2020.08.16
- Optimization of strategies and panel.
- Added profit withdrawal simulation input for the strategy tester.
Version 1.2
2020.07.24
- Minor bug fix in panel.
Version 1.1
2020.07.24
- Restructuring of panel information.
After using this EA for 1 month at a live account, with moderate risk settings, the profit is 10%. Eventually large DD moments will happen, but so far it works very well. Also very good communication and support from the author.