Работа завершена
Время выполнения 7 дней
I have an EA where I would like backtesting to be carried out in order to understand which are the most appropriate strategies for me to use in my portfolio.
Therefore, what I need is for backtesting to be carried out using Every Tick Based on Real Ticks (any major broker is fine so long as it isn’t IC Markets) method for the 270 sub strategies contained within the EA to arrive at the optimal risk level setting for each strategy, where an equity drawdown of 20% is achieved, as per the attached. In other words, I need you to alter the risk setting for each set ID to arrive at a 20% equity drawdown figure for each seperate EA. If a strategy is not profitable, it may mean that very little risk produces this 20% DD.
I then need an Excel spreadsheet populated with the results of the test and some of the parameters for each Set ID.
Please take a look at the attached, as an example, this is what I would like in the Excel spread sheet. The test report snippet is just a snip of the backtest report that starts with Historic Quality top left and consecutive losses bottom right. Just snip that and paste in the Test Report Snippet column as well as the graph for the backtest.
The instructions for downloading the demo and using the EA can be found here and are quite straight forward. You only need to download the demo product and test that.
https://www.mql5.com/en/market/product/132384?source=Site
This isn't so much a technical job, more a time needed with a fast computer/s job. I need the testing to be accurate, so if you're going to just rush through it please dont apply for the job. The data has to be every tick based on real ticks it cannot be every tick.
I want each strategy to be tested from 1.1.2020 - 1.3.2025 (so, just over five years).
To make sure you understand the brief, probably best to test a couple of the strategies, and show me what you have produced, in order that you don't go off in the wrong direction.
Any questions, please let me know.
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