Solo gli utenti che hanno acquistato o noleggiato il prodotto possono lasciare commenti
Benjamin Dixon  

EU5M SETTINGS 

EU 5M settings optimized today
For version 1.2

Optimization time: 5 years to date. (2009/01/01-2014/01/28)

Steps:
1)Optimized on open only.
2)Stress tested many top results on every tick

Notes:
+Works well on all timeframes  M2,M3,M4,M5,M6,M10,M12,M15 on EU.
+Works well under jiggle stress test. (Many settings moved +- 10%)  
+Works well from 2007/01/01

 


 

1 Year Forward Test no MM (lots=0.1 standard lots) 
(2008/01/01-2009/01/01) 

Strategy Tester Report
MetaQuotes-Demo (Build 880)
Settings
Expert:ShmendridgeC7
Symbol:EURUSD
Period:M5 (2008.01.01 - 2009.01.01)
Inputs:d0=***********OPTIMIZABLES
MINSWINGOUT=180
MINSWINGSPACE=110
MAXSWINGSPACE=1750
MINSWINGS=2
MAXCHANNELWIDTH=400
ALLOWANCE=18
CHANNEL_LENGTH=900
STOP_LOSS=25
TAKE_PROFIT=400
CHANNEL_CORE=65
TRAILING_STOP=130
STEP=11
CUSION=1
NOCHANNELBARS=10
d1=**************RISK & ORDER INFO
SLIPPAGE=2
LOT=0.1
LOT_TYPE=0
MAGIC_NUMBER=867
d2=**************TESTER INPUTS
TesterMinTrades=550
TesterSharpWeight=10
TesterDDRatioWeight=3
TesterPFWeight=25
TesterProfitweight=0.01
ScoreMultiplier=1
Broker:MetaQuotes Software Corp.
Currency:USD
Initial Deposit:10 000.00
Leverage:1:100
Results
History Quality:100%
Bars:73673Ticks:4495701Symbols:1
Total Net Profit:1 899.55Balance Drawdown Absolute:81.00Equity Drawdown Absolute:94.00
Gross Profit:4 344.06Balance Drawdown Maximal:248.84 (2.10%)Equity Drawdown Maximal:328.89 (3.12%)
Gross Loss:-2 444.51Balance Drawdown Relative:2.10% (248.84)Equity Drawdown Relative:3.12% (328.89)
Profit Factor:1.78Expected Payoff:15.20Margin Level:6392.36%
Recovery Factor:5.78Sharpe Ratio:0.19Z-Score:1.82 (92.97%)
AHPR:1.0014 (0.14%)LR Correlation:0.91OnTester result:0.0005718083166147095
GHPR:1.0014 (0.14%)LR Standard Error:244.42
Total Trades:125Short Trades (won %):64 (32.81%)Long Trades (won %):61 (21.31%)
Total Deals:250Profit Trades (% of total):34 (27.20%)Loss Trades (% of total):91 (72.80%)
Largest profit trade:397.90Largest loss trade:-28.07
Average profit trade:127.77Average loss trade:-26.86
Maximum consecutive wins ($):3 (603.80)Maximum consecutive losses ($):8 (-217.89)
Maximal consecutive profit (count):603.80 (3)Maximal consecutive loss (count):-217.89 (8)
Average consecutive wins:1Average consecutive losses:3

 

 


 

1 Year Forward Test with MM (lots=5 percent equity) 
(2008/01/01-2009/01/01) $10,000-$141,469


 

Strategy Tester Report
MetaQuotes-Demo (Build 880)
Settings
Expert:ShmendridgeC7
Symbol:EURUSD
Period:M5 (2008.01.01 - 2009.01.01)
Inputs:d0=***********OPTIMIZABLES
MINSWINGOUT=180
MINSWINGSPACE=110
MAXSWINGSPACE=1750
MINSWINGS=2
MAXCHANNELWIDTH=400
ALLOWANCE=18
CHANNEL_LENGTH=900
STOP_LOSS=25
TAKE_PROFIT=400
CHANNEL_CORE=65
TRAILING_STOP=130
STEP=11
CUSION=1
NOCHANNELBARS=10
d1=**************RISK & ORDER INFO
SLIPPAGE=2
LOT=5
LOT_TYPE=1
MAGIC_NUMBER=867
d2=**************TESTER INPUTS
TesterMinTrades=550
TesterSharpWeight=10
TesterDDRatioWeight=3
TesterPFWeight=25
TesterProfitweight=0.01
ScoreMultiplier=1
Broker:MetaQuotes Software Corp.
Currency:USD
Initial Deposit:10 000.00
Leverage:1:100
Results
History Quality:100%
Bars:73673Ticks:4495701Symbols:1
Total Net Profit:126 051.75Balance Drawdown Absolute:1 590.30Equity Drawdown Absolute:1 821.70
Gross Profit:292 825.17Balance Drawdown Maximal:60 712.86 (42.49%)Equity Drawdown Maximal:74 770.16 (48.93%)
Gross Loss:-166 773.42Balance Drawdown Relative:42.49% (60 712.86)Equity Drawdown Relative:48.93% (74 770.16)
Profit Factor:1.76Expected Payoff:992.53Margin Level:255.50%
Recovery Factor:1.69Sharpe Ratio:0.20Z-Score:1.75 (91.99%)
AHPR:1.0308 (3.08%)LR Correlation:0.76OnTester result:0.01114323285182258
GHPR:1.0208 (2.08%)LR Standard Error:23 821.96
Total Trades:127Short Trades (won %):65 (32.31%)Long Trades (won %):62 (20.97%)
Total Deals:252Profit Trades (% of total):34 (26.77%)Loss Trades (% of total):93 (73.23%)
Largest profit trade:52 483.01Largest loss trade:-7 799.61
Average profit trade:8 612.50Average loss trade:-1 793.26
Maximum consecutive wins ($):3 (88 140.97)Maximum consecutive losses ($):8 (-46 465.86)
Maximal consecutive profit (count):88 140.97 (3)Maximal consecutive loss (count):-46 465.86 (8)
Average consecutive wins:1Average consecutive losses:3

 

 

 



5 Year Backtest from Optimization no MM (lots=0.1 standard lots) 
(2009/01/01-2014/01/28) 

 

Strategy Tester Report
MetaQuotes-Demo (Build 880)
Settings
Expert:ShmendridgeC7
Symbol:EURUSD
Period:M5 (2009.01.01 - 2014.01.28)
Inputs:d0=***********OPTIMIZABLES
MINSWINGOUT=180
MINSWINGSPACE=110
MAXSWINGSPACE=1750
MINSWINGS=2
MAXCHANNELWIDTH=400
ALLOWANCE=18
CHANNEL_LENGTH=900
STOP_LOSS=25
TAKE_PROFIT=400
CHANNEL_CORE=65
TRAILING_STOP=130
STEP=11
CUSION=1
NOCHANNELBARS=10
d1=**************RISK & ORDER INFO
SLIPPAGE=2
LOT=0.1
LOT_TYPE=0
MAGIC_NUMBER=867
d2=**************TESTER INPUTS
TesterMinTrades=550
TesterSharpWeight=10
TesterDDRatioWeight=3
TesterPFWeight=25
TesterProfitweight=0.01
ScoreMultiplier=1
Broker:MetaQuotes Software Corp.
Currency:USD
Initial Deposit:10 000.00
Leverage:1:100
Results
History Quality:99%
Bars:374655Ticks:80430885Symbols:1
Total Net Profit:6 806.80Balance Drawdown Absolute:0.00Equity Drawdown Absolute:9.00
Gross Profit:19 639.53Balance Drawdown Maximal:531.72 (3.63%)Equity Drawdown Maximal:667.63 (4.52%)
Gross Loss:-12 832.73Balance Drawdown Relative:4.16% (444.13)Equity Drawdown Relative:4.99% (537.39)
Profit Factor:1.53Expected Payoff:10.65Margin Level:6798.81%
Recovery Factor:10.20Sharpe Ratio:0.15Z-Score:2.15 (96.84%)
AHPR:1.0008 (0.08%)LR Correlation:0.98OnTester result:114397.9739731016
GHPR:1.0008 (0.08%)LR Standard Error:458.65
Total Trades:639Short Trades (won %):305 (24.26%)Long Trades (won %):334 (23.65%)
Total Deals:1278Profit Trades (% of total):153 (23.94%)Loss Trades (% of total):486 (76.06%)
Largest profit trade:398.10Largest loss trade:-29.50
Average profit trade:128.36Average loss trade:-26.40
Maximum consecutive wins ($):3 (569.90)Maximum consecutive losses ($):18 (-475.64)
Maximal consecutive profit (count):569.90 (3)Maximal consecutive loss (count):-475.64 (18)
Average consecutive wins:1Average consecutive losses:4

 

 


File:
c7.set  1 kb
Benjamin Dixon  

90% OFF SALE of NEW v1.4 [Submitted for approval today.]

Now $24.99 for the MT5 version and $22.99 for the MT4 version for a limited time only!

 

NEW DEFAUFALT SETTINGS FOR EU5M 
 

 

Strategy Tester Report
MetaQuotes-Demo (Build 880)
Settings
Expert:ShmendridgeC7
Symbol:EURUSD
Period:M5 (2006.02.18 - 2014.02.20)
Inputs:d99=EU-5M-Default-Settings-02/17/2014
d0=***********OPTIMIZABLES
d0a=***Definition of New Wall
MINSWINGSPACE=75
MAXSWINGSPACE=1500
MINSWINGS=2
ALLOWANCE=4.0
SWINGTYPE=-973078528
d0b=***Definition of Channel
MAXCHANNELWIDTH=200
CHANNEL_LENGTH=1440
CHANNEL_CORE=21
NOCHANNELBARS=510
d0c=***SLTP and Order Criteria
STOP_LOSS=6
TAKE_PROFIT=25
TRAILING_STOP=1.5
STEP=0.25
CUSHION=0.0
d0d=***Big Round Numbers
BRNSTOP=true
BRN=0.0010
BRNSTOPLOSS=1
d1=**************RISK & ORDER INFO
SLIPPAGE=2
LOT=1
LOT_TYPE=1
MAGIC_NUMBER=8677
d2=**************TESTER INPUTS
TesterMinTrades=400
TesterSharpWeight=5
TesterDDRatioWeight=5
TesterPFWeight=25
TesterProfitweight=1
ScoreMultiplier=10
PUREDD=true
PUREPFW=1
Broker:MetaQuotes Software Corp.
Currency:USD
Initial Deposit:100 000.00
Leverage:1:100
Results
History Quality:99%
Bars:590056Ticks:10847024Symbols:1
Total Net Profit:181 601.71Balance Drawdown Absolute:1 043.84Equity Drawdown Absolute:2 058.59
Gross Profit:505 350.67Balance Drawdown Maximal:19 525.48 (10.26%)Equity Drawdown Maximal:24 335.42 (8.75%)
Gross Loss:-323 748.96Balance Drawdown Relative:12.24% (13 985.41)Equity Drawdown Relative:13.13% (15 078.79)
Profit Factor:1.56Expected Payoff:458.59Margin Level:896.35%
Recovery Factor:7.46Sharpe Ratio:0.17Z-Score:0.52 (39.69%)
AHPR:1.0028 (0.28%)LR Correlation:0.97OnTester result:87.44023036514609
GHPR:1.0026 (0.26%)LR Standard Error:11 439.60
Total Trades:396Short Trades (won %):194 (41.75%)Long Trades (won %):202 (41.58%)
Total Deals:815Profit Trades (% of total):165 (41.67%)Loss Trades (% of total):231 (58.33%)
Largest profit trade:10 421.46Largest loss trade:-5 178.30
Average profit trade:3 062.73Average loss trade:-1 401.51
Maximum consecutive wins ($):6 (10 770.09)Maximum consecutive losses ($):11 (-10 377.40)
Maximal consecutive profit (count):15 835.24 (3)Maximal consecutive loss (count):-15 229.17 (7)
Average consecutive wins:2Average consecutive losses:2

Benjamin Dixon  

recent typical 2year optimization +6 month forward test from v1.6 (produced by MT5 C7 OPTIMIZER, settings performance the same in MT4):
was just the first one on the top of the optimization results, not cherry picked! although it is above average...


Strategy Tester Report
MetaQuotes-Demo (Build 910)

 

Settings
Expert:ShmendridgeC7
Symbol:GBPUSD
Period:M5 (2011.03.16 - 2013.09.16)
Inputs:d99=[GBPUSD][5]2year opti.
d0=***********OPTIMIZABLES
d0a=***Definition of New Wall
SWINGPOINTONLY=false
MINSWINGSPACE=75
MAXSWINGSPACE=350
MINSWINGS=3
ALLOWANCE=1.5
SWINGTYPE=4
d0b=***Definition of Channel
MAXCHANNELWIDTH=20.0
CHANNEL_LENGTH=450
CHANNEL_CORE=11
NOCHANNELBARS=260
d0c=***SLTP and Order Criteria
STOP_LOSS=3.0
TAKE_PROFIT=8
TRAILING_STOP=0.5
STEP=0.025
CUSHION=-0.1
SAR=true
d0d=***Big Round Numbers
BRNSTOP=true
BRN=0.005
BRNSTOPLOSS=1.6
d1=**************RISK & ORDER INFO
SLIPPAGE=2
LOT=0.1
LOT_TYPE=1
MAGIC_NUMBER=8677
d2=**************TESTER INPUTS
TesterMinTrades=200
TesterSharpWeight=50
TesterDDRatioWeight=5
TesterPFWeight=25
TesterProfitweight=1
ScoreMultiplier=10
PUREDD=true
TesterLotInc=0.002
MINPF=1.4
PENexp=10
Broker:MetaQuotes Software Corp.
Currency:USD
Initial Deposit:100 000.00
Leverage:1:100
Results
History Quality:99%
Bars:148383Ticks:37925210Symbols:1
Total Net Profit:10 844.39Balance Drawdown Absolute:103.74Equity Drawdown Absolute:158.24
Gross Profit:23 744.08Balance Drawdown Maximal:1 203.76 (1.17%)Equity Drawdown Maximal:1 394.30 (1.36%)
Gross Loss:-12 899.69Balance Drawdown Relative:1.17% (1 203.76)Equity Drawdown Relative:1.36% (1 394.30)
Profit Factor:1.84Expected Payoff:53.16Margin Level:3284.80%
Recovery Factor:7.78Sharpe Ratio:0.27Z-Score:0.41 (31.82%)
AHPR:1.0005 (0.05%)LR Correlation:0.98OnTester result:624.811597616084
GHPR:1.0005 (0.05%)LR Standard Error:584.26
Total Trades:204Short Trades (won %):106 (43.40%)Long Trades (won %):98 (44.90%)
Total Deals:408Profit Trades (% of total):90 (44.12%)Loss Trades (% of total):114 (55.88%)
Largest profit trade:564.20Largest loss trade:-253.75
Average profit trade:263.82Average loss trade:-113.16
Maximum consecutive wins ($):6 (1 857.24)Maximum consecutive losses ($):12 (-1 203.76)
Maximal consecutive profit (count):1 857.24 (6)Maximal consecutive loss (count):-1 203.76 (12)
Average consecutive wins:2Average consecutive losses:2

 

 

and the 6 month forward test from it (0.1% risk on each trade only): 


Strategy Tester Report
MetaQuotes-Demo (Build 910)




MetaQuotes-Demo (Build 910)
Settings
Expert:ShmendridgeC7
Symbol:GBPUSD
Period:M5 (2011.03.16 - 2013.09.16)
Inputs:d99=[GBPUSD][5]2year opti.
d0=***********OPTIMIZABLES
d0a=***Definition of New Wall
SWINGPOINTONLY=false
MINSWINGSPACE=75
MAXSWINGSPACE=350
MINSWINGS=3
ALLOWANCE=1.5
SWINGTYPE=4
d0b=***Definition of Channel
MAXCHANNELWIDTH=20.0
CHANNEL_LENGTH=450
CHANNEL_CORE=11
NOCHANNELBARS=260
d0c=***SLTP and Order Criteria
STOP_LOSS=3.0
TAKE_PROFIT=8
TRAILING_STOP=0.5
STEP=0.025
CUSHION=-0.1
SAR=true
d0d=***Big Round Numbers
BRNSTOP=true
BRN=0.005
BRNSTOPLOSS=1.6
d1=**************RISK & ORDER INFO
SLIPPAGE=2
LOT=0.1
LOT_TYPE=1
MAGIC_NUMBER=8677
d2=**************TESTER INPUTS
TesterMinTrades=200
TesterSharpWeight=50
TesterDDRatioWeight=5
TesterPFWeight=25
TesterProfitweight=1
ScoreMultiplier=10
PUREDD=true
TesterLotInc=0.002
MINPF=1.4
PENexp=10
Broker:MetaQuotes Software Corp.
Currency:USD
Initial Deposit:100 000.00
Leverage:1:100
Results
History Quality:99%
Bars:37111Ticks:6433230Symbols:1
Total Net Profit:2 534.80Balance Drawdown Absolute:105.28Equity Drawdown Absolute:105.28
Gross Profit:4 989.44Balance Drawdown Maximal:507.61 (0.50%)Equity Drawdown Maximal:591.04 (0.58%)
Gross Loss:-2 454.64Balance Drawdown Relative:0.50% (507.61)Equity Drawdown Relative:0.58% (591.04)
Profit Factor:2.03Expected Payoff:57.61Margin Level:5767.97%
Recovery Factor:4.29Sharpe Ratio:0.31Z-Score:-0.10 (7.97%)
AHPR:1.0006 (0.06%)LR Correlation:0.94OnTester result:7.842302033849551e-005
GHPR:1.0006 (0.06%)LR Standard Error:247.33
Total Trades:44Short Trades (won %):24 (45.83%)Long Trades (won %):20 (45.00%)
Total Deals:88Profit Trades (% of total):20 (45.45%)Loss Trades (% of total):24 (54.55%)
Largest profit trade:512.90Largest loss trade:-114.65
Average profit trade:249.47Average loss trade:-102.28
Maximum consecutive wins ($):4 (1 023.12)Maximum consecutive losses ($):5 (-507.61)
Maximal consecutive profit (count):1 023.12 (4)Maximal consecutive loss (count):-507.61 (5)
Average consecutive wins:2Average consecutive losses:2

 Check Signal for real LIVE results of this bot:
https://www.mql5.com/en/signals/30441

And the old one:
https://www.mql5.com/en/signals/28851 

 Message me with proof of purchase and I will send you up to date settings I use on my signal and keep sending them as I re optimize each time for the life of the signal.

Benjamin Dixon  

Once version 1.6 is approved here are the new settings and docs.

Benjamin Dixon  

VERSION 2.0 came ahead of schedule! Here is the first pack of .set files.

(Rest coming soon...)

Reports of back-tests are available in with the MT5 versions settings packs in the comments area of the MT5 version.

Benjamin Dixon  

2.1 has been released.

The improvements of 2.1 to performance are significant according to testing. Keep an eye on these links for true live results:

 http://www.mt4i.com/users/bendex77/
 
 https://www.mql5.com/en/signals/30441
 


The new default settings are actually quite sensitive to spread. I have included in this post an alternate EURUSD-5m set which I recommend if your spread plus slippage exceeds 1 pip but is under 2.5 pips.

I have also included the new readme here. 

I have optimized for EU5m(2 variations), EU1h, GU5m, AU5m,  UJ5m, UJh1 and GOLDh1. Please message me for the extra settings.

File:
Gary Davis  
The new version and new set files is slow and steady in profit.  Much better so far.... keep it up! 
Solo gli utenti che hanno acquistato o noleggiato il prodotto possono lasciare commenti