Thank you for your reply, you mean to say this is not the 100 points will be open b single, but also the software think the market reversed ,right.?
My question 1: how to define the market reversed, internal custom software, can I control it?
Middle Time Frame and Trend Tracker Input settings "TT Period" and "TTMul" is controlling to identify market reversal.
2: I have observed, for example, higher tf is sell middle tf is a buy, sell single software always do, please confirm the ea decide buy or sell only depend on higher tf?
Initial Trade Decision is based on current TF and Higher TF trading mode. HigherTF is Sell, EA will find Sell opportunities in current time frame.
3:
SimpleLotMultiplier
Initial lot=.01, subsequent lots will be .02,.03,.04 so on
Meaning ExponentialMultiplier
Initial lot=.01, subsequent lots will be .02,.04,.08 so on
these two options, I really do not understand, please, please Give an example. Thanks a lot.
Finally, admire your software, I back-tested the balance of more than 10 ea, not only your warehouse explosion. And I try to change a variety of parameters, but still not as good as your last earnings default parameter well. Shows you how hard, which is why I only tested two weeks it was decided to pay $ 99 reasons.good job
Hi Adnan, i'm working with the EA automatic lot of 6 pairs (eur/usd) (Aud/cad) (usd/cad) (eur/gbp) (aud/usd) (usd/nzd). i need to know what is the moderate and the high risk lot to work with 1000$. Thanks
Hi Adnan, i'm working with the EA automatic lot of 6 pairs (eur/usd) (Aud/cad) (usd/cad) (eur/gbp) (aud/usd) (usd/nzd). i need to know what is the moderate and the high risk lot to work with 1000$. Thanks
Hi,
It is optimized and safe to use minimum lot .01 for 6 pairs.
when the entry trade fails another trade is opened with a higher lot size (aggressive set file) following a trend to make up for the loss.
I often see the new trade accumulating a lot of profit but sometimes suddenly the market changes and it goes into negative as well.
Suggestion: If the new trade is almost at the target profit set a flag. If the price goes down and the trade is a pip away from going into negative and the flag was set, sell it for +-0.01 and wait for a better opportunity to try again.
when the entry trade fails another trade is opened with a higher lot size (aggressive set file) following a trend to make up for the loss.
I often see the new trade accumulating a lot of profit but sometimes suddenly the market changes and it goes into negative as well.
Suggestion: If the new trade is almost at the target profit set a flag. If the price goes down and the trade is a pip away from going into negative and the flag was set, sell it for +-0.01 and wait for a better opportunity to try again.
What do you think?
Hi Henry,
This feature is already available but in a different way.
If secondary trade is in profit and market is suddenly reversed and it is identified by TrendTracker indicator, trade will be closed in profit.
Hi People. I want submit you my last experiences with this EA. After 1 month with TF low, as M5 and M30, with aggressive settings from Adnan, on 8 pairs each, I decided to make backtest changing the Trailing Stop setting. Setting TS with 40/10/0 in 3 fields, i noted that incoming were much higher with an higher DD but reasonable. More began to backtest also on TF higher as H1 and H4, always with this setting and results were amazing. in H1 and H4 incoming standup and DD was more than reasonable. So I have set a variable lot size for trade, in M5 0.1%, in M30 0.25%, in H1 0.5% and in H4 1% on an account 12000. Backtesting 1 year with 99,9% results tick by tick, using 14 assets in H4, 12 assets in H1, 10 in M30 and in M5, account showed an incoming 42000 more 12000 starting =54000. Think about a matter, every test work only on 1 asset and growth of account increase % only in 1 asset but using all the assets simultaneasly growth is for all the assets together and is more more higher. You will ask me but DD about 48 assets all together? Ok I had same fear, so i printed all the 48 results and work with patient, picking 2 time in a month incoming and the DD for every asset, in a spreadsheet, I calculated approsimative DD CUMULATIVE and INCOMING CUMULATIVE, 2 time in a month for all 12 month. Think always that every result is always calculated on single asset but we know that cumulative auction will obtain more large results.
Profitti H1
PROFITTI M5
PROFITTI M30
Profitti H4
Profitti
Perdite H1
PERDITE M5
PERDITE M30
Perdite H4
Perdite
Risultato
MARZO 1
1027,5
203,3
363,53
1019,52
2250,32
1125
350
500
750
2225
25,32
MARZO 2
1846,15
305,44
639,54
1575
3726,59
1125
550
1100
1500
3175
551,59
APRILE 1
2493,03
425,71
928,54
2223,71
5142,45
1500
600
1100
3750
5850
-707,55
APRILE 2
2984,63
587,62
1423,59
3030,22
6602,47
1875
650
1400
3375
5900
702,47
MAGGIO 1
3756,64
741,6
1695,52
4199,15
8697,39
3750
800
900
3750
8300
397,39
MAGGIO 2
4696,92
892,4
2143,49
4980,48
10569,8
2250
450
1100
3375
6075
4494,8
GIUGNO 1
5738,99
1136,94
2491,76
5890,28
12766,21
3375
450
800
4875
8700
4066,21
GIUGNO 2
7461,23
1523,14
3152,92
7805,66
16790,03
2625
350
200
2625
5600
11190,03
LUGLIO 1
8110,65
1662,47
3404,67
8424,67
18197,79
2250
400
200
4125
6775
11422,79
LUGLIO 2
9090,67
1907
3835,28
9266,26
20263,93
2625
450
500
4500
7575
12688,93
AGOSTO 1
9664,84
2021,32
4091,66
10457,44
22143,6
2250
350
300
0
2600
19543,6
AGOSTO 2
10297,19
2128,48
4269,45
11083,31
23508,98
2625
250
800
2125
5000
18508,98
SETTEMBRE 1
10884,69
2267,51
4539,06
12175,03
25327,23
3000
300
1000
2625
5925
19402,23
SETTEMBRE 2
11795,26
2430,24
5023,56
13195,62
27421,12
3750
500
1300
3750
8000
19421,12
OTTOBRE 1
12396,85
2544,29
5314,1
13904,84
28845,98
3375
400
400
2625
6400
22445,98
OTTOBRE2
12919,86
2667,98
5609,42
14861,74
30449,58
3375
550
500
1125
5050
25399,58
NOVEMBRE 1
14429,48
2936,52
6178,35
16302,82
33668,82
2250
400
600
1875
4525
29143,82
NOVEMBRE 2
15052,6
3243,78
6478,2
15912,15
34208,53
1500
350
600
1875
3725
30483,53
DICEMBRE 1
15817,39
3515,05
6816,15
16375,73
35708,17
1125
350
600
1125
2600
33108,17
DICEMBRE 2
16570,18
3611,58
6996,53
17168,44
37350,2
1125
350
600
1125
2600
34750,2
GENNAIO 1
17068,66
3755,56
7282,42
17957,51
38781,73
1875
700
500
750
3325
35456,73
GENNAIO 2
17589,44
3956,69
7635,29
18850,15
40396,28
5250
600
1100
375
6225
34171,28
FEBBRAIO 1
17861,31
4044,39
7866,15
19452,26
41357,96
2250
150
1100
750
3150
38207,96
FEBBRAIO 2
18112,82
4010,3
7856,4
19799,81
41922,93
750
50
0
0
800
41122,93
Sorry for languages spreadsheet, it is italian but not so difficult understand it. In first column is the first and second pick in a month. First bold column is profit cumulative. Second bold column is loss cumulative. Third bold column is final result. The worst results in equity is in April where the DD was minus that 1000, in forward months you play always on smooth of high incoming that can justify losses larger. Also thinking that an unlucky event can happen at begin of the period, losses touch at top minus 9000, calculating that trades with var lots carry larger trades that at beginning so i think that 12000 is a reasonable account to set.
I forgot to tell you that i started from 2 week this big auction and at this moment began with 8 assets in M5 8 in M30 and 14 in H4. Only today i added 12 assets in H1, and decided to use for next 2 months 0.01, 0.03, 0.03 and 0.06 microlots fixed that is about 50% of what you see in the spreadsheet, to study what happen on live.
Yo no la salida para Bitcoin. Pero debería funcionar bien.
Hola, gracias por responder, hice una prueba con una cuenta demo en dolares y una operación en el par eur/usd resulto en 1.1usd de ganancia. Pero en mi cuenta real en bitcoins las operaciones no pasan de 97bit de ganancia, podrías verificar si necesita ajustes por favor, Gracias.
I have a question regarding the indicators, as they dont show up on the chart.
It is EA and using indicator in algorithim. Cannot be displayed in EA as Indicator displaying design is different than EA System. Indicator mathematics is builtin in EA.
the signals are visible or not ?
what is the proper time frame to be able to follow the system ?
M5,M15,M30
should I choose the hourly, it does mean I always have to have the 1h chart open ?
Better to use Lower time frame than H1
is there and indicator you recommend me to download that complete the picture ?
No need for any separate indicator. indicator is builting in EA system.
is there any video you can supply where you explain somewhat how the system work ?
I will prepare video for better explanation. At this time no video.
or show some picturial images where you show the trend tracker opening and closing positions....?
PImmages are shared in intial pages of this forum.
Hello, thanks for answering, I did a test with a demo account in dollars and an operation in the pair eur / usd resulted in 1.1usd gain. But in my real account bitcoins operations do not exceed 97bit gain, you could check whether adjustments need to please, thanks.
Thank you for your reply, you mean to say this is not the 100 points will be open b single, but also the software think the market reversed ,right.?
My question 1: how to define the market reversed, internal custom software, can I control it?
Middle Time Frame and Trend Tracker Input settings "TT Period" and "TTMul" is controlling to identify market reversal.
2: I have observed, for example, higher tf is sell middle tf is a buy, sell single software always do, please confirm the ea decide buy or sell only depend on higher tf?
Initial Trade Decision is based on current TF and Higher TF trading mode. HigherTF is Sell, EA will find Sell opportunities in current time frame.
3:
Please find my answers in red fonts.
Hi Adnan, i'm working with the EA automatic lot of 6 pairs (eur/usd) (Aud/cad) (usd/cad) (eur/gbp) (aud/usd) (usd/nzd). i need to know what is the moderate and the high risk lot to work with 1000$. Thanks
Hi Adnan, i'm working with the EA automatic lot of 6 pairs (eur/usd) (Aud/cad) (usd/cad) (eur/gbp) (aud/usd) (usd/nzd). i need to know what is the moderate and the high risk lot to work with 1000$. Thanks
Hi,
It is optimized and safe to use minimum lot .01 for 6 pairs.
Which are the best 10 pairs ?
Hi Adil,
Do some backtesting to find 10 pairs, I can share my backtesting results, it is intersting on 99.9% Tick Story Data.
1) AUDUSD 5min Chart
AUDUSD 1Min Chart:
2) AUDJPY 5 Min Chart
AUDJPY 1Min Chart
3) EURUSD 5 Min Chart
EURUSD 1Min Chart
Which are the best 10 pairs ?
4) USDJPY
5) EURCHF
)
6) AUDNZD
Rest for your testing, But I am satisfied with these results.
Hey Adnan,
when the entry trade fails another trade is opened with a higher lot size (aggressive set file) following a trend to make up for the loss.
I often see the new trade accumulating a lot of profit but sometimes suddenly the market changes and it goes into negative as well.
Suggestion: If the new trade is almost at the target profit set a flag. If the price goes down and the trade is a pip away from going into negative and the flag was set, sell it for +-0.01 and wait for a better opportunity to try again.
What do you think?
Hey Adnan,
when the entry trade fails another trade is opened with a higher lot size (aggressive set file) following a trend to make up for the loss.
I often see the new trade accumulating a lot of profit but sometimes suddenly the market changes and it goes into negative as well.
Suggestion: If the new trade is almost at the target profit set a flag. If the price goes down and the trade is a pip away from going into negative and the flag was set, sell it for +-0.01 and wait for a better opportunity to try again.
What do you think?
Hi Henry,
This feature is already available but in a different way.
If secondary trade is in profit and market is suddenly reversed and it is identified by TrendTracker indicator, trade will be closed in profit.
Hi Adil,
Do some backtesting to find 10 pairs, I can share my backtesting results, it is intersting on 99.9% Tick Story Data.
1) AUDUSD 5min Chart
AUDUSD 1Min Chart:
2) AUDJPY 5 Min Chart
AUDJPY 1Min Chart
3) EURUSD 5 Min Chart
EURUSD 1Min Chart
4) USDJPY
5) EURCHF
)
6) AUDNZD
Rest for your testing, But I am satisfied with these results.
Hi Henry,
This feature is already available but in a different way.
If secondary trade is in profit and market is suddenly reversed and it is identified by TrendTracker indicator, trade will be closed in profit.
Brilliant! I have indeed noticed trades closing sometimes but not always, it was confusing, now I understand! Thanks!
Hi People. I want submit you my last experiences with this EA. After 1 month with TF low, as M5 and M30, with aggressive settings from Adnan, on 8 pairs each, I decided to make backtest changing the Trailing Stop setting. Setting TS with 40/10/0 in 3 fields, i noted that incoming were much higher with an higher DD but reasonable. More began to backtest also on TF higher as H1 and H4, always with this setting and results were amazing. in H1 and H4 incoming standup and DD was more than reasonable. So I have set a variable lot size for trade, in M5 0.1%, in M30 0.25%, in H1 0.5% and in H4 1% on an account 12000. Backtesting 1 year with 99,9% results tick by tick, using 14 assets in H4, 12 assets in H1, 10 in M30 and in M5, account showed an incoming 42000 more 12000 starting =54000. Think about a matter, every test work only on 1 asset and growth of account increase % only in 1 asset but using all the assets simultaneasly growth is for all the assets together and is more more higher. You will ask me but DD about 48 assets all together? Ok I had same fear, so i printed all the 48 results and work with patient, picking 2 time in a month incoming and the DD for every asset, in a spreadsheet, I calculated approsimative DD CUMULATIVE and INCOMING CUMULATIVE, 2 time in a month for all 12 month. Think always that every result is always calculated on single asset but we know that cumulative auction will obtain more large results.
Sorry for languages spreadsheet, it is italian but not so difficult understand it. In first column is the first and second pick in a month. First bold column is profit cumulative. Second bold column is loss cumulative. Third bold column is final result. The worst results in equity is in April where the DD was minus that 1000, in forward months you play always on smooth of high incoming that can justify losses larger. Also thinking that an unlucky event can happen at begin of the period, losses touch at top minus 9000, calculating that trades with var lots carry larger trades that at beginning so i think that 12000 is a reasonable account to set.
Do you like it?
Hola, mi moneda base es bitcoin.
Debo hacer algún ajuste especial?
Hello, my base currency is bitcoin.
I do some special settings?
Hi Liojel,
I did not check it for bitcoin. But it should work fine.
Hi
I just bought your system for one month trial.
I have a question regarding the indicators, as they dont show up on the chart.
the signals are visible or not ?
what is the proper time frame to be able to follow the system ?
should I choose the hourly, it does mean I always have to have the 1h chart open ?
is there and indicator you recommend me to download that complete the picture ?
is there any video you can supply where you explain somewhat how the system work ?
or show some picturial images where you show the trend tracker opening and closing positions....?
thanks for your kind answer, and remain
F
PS: I was referring to the SAAD trend tracker EA
Hola Liojel,
Yo no la salida para Bitcoin. Pero debería funcionar bien.
Hola, gracias por responder, hice una prueba con una cuenta demo en dolares y una operación en el par eur/usd resulto en 1.1usd de ganancia. Pero en mi cuenta real en bitcoins las operaciones no pasan de 97bit de ganancia, podrías verificar si necesita ajustes por favor, Gracias.
Hi
I just bought your system for one month trial.
I have a question regarding the indicators, as they dont show up on the chart.
It is EA and using indicator in algorithim. Cannot be displayed in EA as Indicator displaying design is different than EA System. Indicator mathematics is builtin in EA.
the signals are visible or not ?
what is the proper time frame to be able to follow the system ?
M5,M15,M30
should I choose the hourly, it does mean I always have to have the 1h chart open ?
Better to use Lower time frame than H1
is there and indicator you recommend me to download that complete the picture ?
No need for any separate indicator. indicator is builting in EA system.
is there any video you can supply where you explain somewhat how the system work ?
I will prepare video for better explanation. At this time no video.
or show some picturial images where you show the trend tracker opening and closing positions....?
PImmages are shared in intial pages of this forum.
thanks for your kind answer, and remain
F
Hello, thanks for answering, I did a test with a demo account in dollars and an operation in the pair eur / usd resulted in 1.1usd gain. But in my real account bitcoins operations do not exceed 97bit gain, you could check whether adjustments need to please, thanks.
Hi,
I will check this one and will let you know.