Cristobal Giron: Good morning!!! I would like to know strategy 1 throughout the updates in which things have improved or if it remains the same, thanks
--------------------------------------------------------------------------------------------------------------------------------------------- Link to the EA -https://www.mql5.com/en/users/profi_mql/seller
I made all backtests to new strategy 1, 2 separately, and both together, with new bar, OHLC and real ticks from 2016 to 2018 here's my conclusion: strategy 2 produces more profit but much more drawdown. The difference is so huge, that I believe the best long term profit would be achieved by having separate risks, one for strategy 1 and another for strategy 2. For example, you suggest risk 2% now. Well, I would use risk 2% for strategy 1 and 1% for strategy 2. And even that way, drawdown is too high. I would even prefer 0.7% for strategy 2.
By now I Will use 2% but Will only use strategy 1.
But please tell us a Little about why strategy 2 takes news from a source. Is it to avoid trading during high-speed movements? Or is to to trade during them? That would help me decide even better if I use strategy 2 or not.
Is is posible to use strategy 1 in one chart only and then on another chart to use both strategies with different magic number tan the first chart? I think so :) Have a nice day. Overall, strategy 2 improved comparing to the previous verison, well done Ruslan!!!!
I made all backtests to new strategy 1, 2 separately, and both together, with new bar, OHLC and real ticks from 2016 to 2018 here's my conclusion: strategy 2 produces more profit but much more drawdown. The difference is so huge, that I believe the best long term profit would be achieved by having separate risks, one for strategy 1 and another for strategy 2. For example, you suggest risk 2% now. Well, I would use risk 2% for strategy 1 and 1% for strategy 2. And even that way, drawdown is too high. I would even prefer 0.7% for strategy 2.
By now I Will use 2% but Will only use strategy 1.
But please tell us a Little about why strategy 2 takes news from a source. Is it to avoid trading during high-speed movements? Or is to to trade during them? That would help me decide even better if I use strategy 2 or not.
Is is posible to use strategy 1 in one chart only and then on another chart to use both strategies with different magic number tan the first chart? I think so :) Have a nice day. Overall, strategy 2 improved comparing to the previous verison, well done Ruslan!!!!
Hi,
The difference is so huge, that I believe the best long term profit would be achieved by having separate risks, one for strategy 1 and another for strategy 2.
Perhaps in the next update we will make the RISK Function separate for each strategy.
But please tell us a Little about why strategy 2 takes news from a source. Is it to avoid trading during high-speed movements? Or is to to trade during them? That would help me decide even better if I use strategy 2 or not.
Strategy 2: does not take into account economic news.
Strategy 2: takes into account trading sessions (new York, London, Sydney, Tokyo).
Strategy 2: opening positions is carried out on the average and high price deviation , using a variety of indicators and trading Sessions.
Is is posible to use strategy 1 in one chart only and then on another chart to use both strategies with different magic number tan the first chart?
Yes, you can use the EA on different charts, but you must comply with several conditions:
I made the same backtests as the friend Felipe Ponce Aragon regarding the performance of strategies 1 and 2, and I found exactly the same result, so I chose to use only strategy 1 at the moment.
I made the same backtests as the friend Felipe Ponce Aragon regarding the performance of strategies 1 and 2, and I found exactly the same result, so I chose to use only strategy 1 at the moment.
Thanks
Sergio
Hi,
Yes, Strategy 1 is better against 2 and at the moment it is better to use strategy 1. But soon we will release updates for strategy 2.
Good morning!!! I would like to know strategy 1 throughout the updates in which things have improved or if it remains the same, thanks
Hi,
Strategy 1 has improved in all updates.
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Link to the EA - https://www.mql5.com/en/users/profi_mql/seller
Hello,
Maybe I missed some info somewhere, but I don't have any idea about what is the strategy of "strategy 2".
Can you give us some details about it please ?
Regards,
Hi,
yes.
Thank you but when I try to do so, it fails...
Examples :
- When using the strategy tester, the settings tab is empty...)
- When drag on the chart, nothing happens (the logs say Invalid License (538), Loading of c://....../EA Sato MT5.ex5 failed)
Can you please help me ?
Thank you but when I try to do so, it fails...
Examples :
- When using the strategy tester, the settings tab is empty...)
- When drag on the chart, nothing happens (the logs say Invalid License (538), Loading of c://....../EA Sato MT5.ex5 failed)
Can you please help me ?
Hi,
Try to remove the EA and download it again.
Hello,
Maybe I missed some info somewhere, but I don't have any idea about what is the strategy of "strategy 2".
Can you give us some details about it please ?
Regards,
The EA uses different strategies according to different algorithms.
You can enable or disable strategy 1 and 2.
Dear Ruslan
I made all backtests to new strategy 1, 2 separately, and both together, with new bar, OHLC and real ticks from 2016 to 2018 here's my conclusion: strategy 2 produces more profit but much more drawdown. The difference is so huge, that I believe the best long term profit would be achieved by having separate risks, one for strategy 1 and another for strategy 2. For example, you suggest risk 2% now. Well, I would use risk 2% for strategy 1 and 1% for strategy 2. And even that way, drawdown is too high. I would even prefer 0.7% for strategy 2.
By now I Will use 2% but Will only use strategy 1.
But please tell us a Little about why strategy 2 takes news from a source. Is it to avoid trading during high-speed movements? Or is to to trade during them? That would help me decide even better if I use strategy 2 or not.
Is is posible to use strategy 1 in one chart only and then on another chart to use both strategies with different magic number tan the first chart? I think so :) Have a nice day. Overall, strategy 2 improved comparing to the previous verison, well done Ruslan!!!!
Dear Ruslan
I made all backtests to new strategy 1, 2 separately, and both together, with new bar, OHLC and real ticks from 2016 to 2018 here's my conclusion: strategy 2 produces more profit but much more drawdown. The difference is so huge, that I believe the best long term profit would be achieved by having separate risks, one for strategy 1 and another for strategy 2. For example, you suggest risk 2% now. Well, I would use risk 2% for strategy 1 and 1% for strategy 2. And even that way, drawdown is too high. I would even prefer 0.7% for strategy 2.
By now I Will use 2% but Will only use strategy 1.
But please tell us a Little about why strategy 2 takes news from a source. Is it to avoid trading during high-speed movements? Or is to to trade during them? That would help me decide even better if I use strategy 2 or not.
Is is posible to use strategy 1 in one chart only and then on another chart to use both strategies with different magic number tan the first chart? I think so :) Have a nice day. Overall, strategy 2 improved comparing to the previous verison, well done Ruslan!!!!
Hi,
The difference is so huge, that I believe the best long term profit would be achieved by having separate risks, one for strategy 1 and another for strategy 2.
Strategy 2: does not take into account economic news.
Strategy 2: takes into account trading sessions (new York, London, Sydney, Tokyo).
Strategy 2: opening positions is carried out on the average and high price deviation , using a variety of indicators and trading Sessions.
Is is posible to use strategy 1 in one chart only and then on another chart to use both strategies with different magic number tan the first chart?
what sets do you recommend for this new version?
Hi,
Low risk - Risk_Stop_Loss = 1.5
Average risk - Risk_Stop_Loss = 2.5
High risk - Risk_Stop_Loss = 4
I made the same backtests as the friend Felipe Ponce Aragon regarding the performance of strategies 1 and 2, and I found exactly the same result, so I chose to use only strategy 1 at the moment.
Thanks
Sergio
I made the same backtests as the friend Felipe Ponce Aragon regarding the performance of strategies 1 and 2, and I found exactly the same result, so I chose to use only strategy 1 at the moment.
Thanks
Sergio
Hi,
Yes, Strategy 1 is better against 2 and at the moment it is better to use strategy 1. But soon we will release updates for strategy 2.
My subscription just ended. Used always updated version of EA and set files from author. In forward test you can see results for 4-5 months
Hello Ruslan,
where is your mt5 live account to have an idea how this expert runs with the latest update?
Also the mt4 live account is still deleted form your list.
Thanks for your update.
Hello Ruslan,
where is your mt5 live account to have an idea how this expert runs with the latest update?
Also the mt4 live account is still deleted form your list.
Thanks for your update.
Hi,
updates are coming soon.