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Lothar Arthur Pfeiffer
Sorry, unexpected trouble with my VPS.
Live Forward Test starts again when fixed
Live Forward Test starts again when fixed
Lothar Arthur Pfeiffer
Update — exit logic correction (v2.7)
A defect in the partial take-profit routine has been corrected. At the current position size, the first partial exit was rounded up to the broker's minimum lot, which closed the entire position instead of a portion of it. Every winning trade was therefore capped at 0.60R while every losing trade ran the full stop.
From now on, a partial exit is skipped when it would round up to the full position. Break-even and trailing stop management are unchanged, and positions can reach their intended target.
Risk per trade, stop-loss placement and position sizing are unchanged. Expect a lower win rate and a higher average win going forward — the previous win rate was a side effect of the defect, not a property of the strategy.
A defect in the partial take-profit routine has been corrected. At the current position size, the first partial exit was rounded up to the broker's minimum lot, which closed the entire position instead of a portion of it. Every winning trade was therefore capped at 0.60R while every losing trade ran the full stop.
From now on, a partial exit is skipped when it would round up to the full position. Break-even and trailing stop management are unchanged, and positions can reach their intended target.
Risk per trade, stop-loss placement and position sizing are unchanged. Expect a lower win rate and a higher average win going forward — the previous win rate was a side effect of the defect, not a property of the strategy.
Lothar Arthur Pfeiffer
Auracle — 6-Month Live Forward Test (XAUUSD)
I'm publicly documenting a 6-month live forward test of my Gold (XAUUSD) Expert Advisor, Auracle, before listing it on the Market.
The point of this is not to chase big returns. It's to prove one thing in real market conditions: that the system preserves capital and stays consistent through every phase of the market — trend, range, neutral and news.
Test framework:
Instrument: XAUUSD only
Timeframe: M5
Risk: 0.3% per trade, fixed
Broker: IC Markets Raw Spread (ECN), running on VPS
Target: max drawdown under 15%, positive equity curve across all market phases
What Auracle is:
A score-driven, news-aware Gold EA. It does not fire on every crossover. Each setup has to clear a multi-factor scoring threshold before a single trade is placed — one position at a time, every position with a real stop loss.
No grid. No martingale. No averaging down.
Built-in news filter steps aside around high-impact USD events (NFP, CPI, FOMC) — where most Gold EAs bleed out.
Higher-timeframe trend awareness discourages fighting the dominant direction.
Position sizing normalised across brokers via TickValue/TickSize.
The rules of this thread:
I'll post a monthly update: trades, win rate, profit factor, max drawdown so far — with an equity screenshot.
Losing periods get posted the same as winning ones. No cherry-picking.
Settings are frozen for the duration. If I change anything, I'll say so openly and mark it.
Live signal (verified, real money):
https://www.mql5.com/en/signals/2387034
Questions and critique welcome. If you think the drawdown target is unrealistic for Gold at this risk level, tell me — that's exactly what the next six months are here to answer.
I'm publicly documenting a 6-month live forward test of my Gold (XAUUSD) Expert Advisor, Auracle, before listing it on the Market.
The point of this is not to chase big returns. It's to prove one thing in real market conditions: that the system preserves capital and stays consistent through every phase of the market — trend, range, neutral and news.
Test framework:
Instrument: XAUUSD only
Timeframe: M5
Risk: 0.3% per trade, fixed
Broker: IC Markets Raw Spread (ECN), running on VPS
Target: max drawdown under 15%, positive equity curve across all market phases
What Auracle is:
A score-driven, news-aware Gold EA. It does not fire on every crossover. Each setup has to clear a multi-factor scoring threshold before a single trade is placed — one position at a time, every position with a real stop loss.
No grid. No martingale. No averaging down.
Built-in news filter steps aside around high-impact USD events (NFP, CPI, FOMC) — where most Gold EAs bleed out.
Higher-timeframe trend awareness discourages fighting the dominant direction.
Position sizing normalised across brokers via TickValue/TickSize.
The rules of this thread:
I'll post a monthly update: trades, win rate, profit factor, max drawdown so far — with an equity screenshot.
Losing periods get posted the same as winning ones. No cherry-picking.
Settings are frozen for the duration. If I change anything, I'll say so openly and mark it.
Live signal (verified, real money):
https://www.mql5.com/en/signals/2387034
Questions and critique welcome. If you think the drawdown target is unrealistic for Gold at this risk level, tell me — that's exactly what the next six months are here to answer.
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