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Spider Average

Spider Average - is a professional advisor based on levels and indicators to determine the trend, which will allow you to get high returns. It works on the GBPUSD and GOLD pairs showing good results. The robot is tuned to the current market trend. The robot is fully automated, but it is still worth monitoring its work periodically.

The tests have been conducted since the beginning of 2019.  There are currently two pairs - GBPUSD AND GOLD, TF - М15.  The recommended deposit is $ 300 - $ 500 for GBPUSD, for GOLD it is better to consider from $ 1,000, because we all know that Gold is a rather volatile instrument.

A little explanation of the parameters of the robot:

1) Lot (Лот) - the lot that will be used by the advisor at the initial entry into the deal;
2) Delta lot - lot from the first point + value of this parameter = lot to cover the loss;
3) TP coefficient (TP коэфф) - the ratio of TP to SL, when the values ​​change (standard - 1.0), only take profit increases in relation to the level of opening a trade, that is, with a value of 1.5 - we get take 1.5, and stop 1;
4) Profit from closing deals (Прибыль закрытия сделок) - set based on how much you are willing to get at least from one deal;
5) Trailing stop (Трейлинг стоп) - the value is specified in%, when the price reaches this mark, the next two points start to work - "SL at the open price" and "Increase by TP";
6) SL for the open price (SL за цену открытия)  - the value is specified in%, works when the "Trailing stop" parameter is enabled. Placed for the opening level of the deal;
7) Increase TP (Увеличение TP) - the value is specified in%, shifts TP from the original value to the specified one, works when the "Trailing stop" parameter is enabled;
8) % of the volume to close (% от объёма для закрытия)   - the value is specified in%, divides an open deal into 2 parts and closes one by one. For example - the value is 70%, the deal will close 70% of the initial volume and 30% will close later;
9) Amplitude - the period of the built-in indicator is always 12, you can experiment at your own peril and risk, but this is the optimal value;
10) PeriodT - the period of the trend indicator, the value is always 240, you can experiment at your own risk, but this is the optimal value;
11) Leave signals from the arrow (Сигналы от стрелочки) and closing on the return signal of the Spider (закрытие по обратному сигналу Spider) disabled, that is, to false. Options for the most desperate)
12) Closing on a reverse pivot without a trend (Закрытие по обратному пивот без тренда) - true or false (there is no particular difference, maximum + 2-3% to the deposit);
13) Pivot period (Период Пивот) - 1 Week, weekly, recommended parameter, experiments again are not canceled);
14) Leave the distance between the lines, MIN (Расстояние между линиями, MIN) and Indent for SL unchanged (Отступ для SL), with the exception of GOLD, where the distance between the lines is set to 400.

The parameters in the screenshots are presented for a deposit of $ 300 and $ 2.000 with observance of risks for GBPUSD and $ 2.000 for GOLD. 

Considering other deposits, the following lot can be observed:
- $ 300 - 0.03, an increase of 0.01-0.02;
- $ 400 - 0.04, an increase of 0.02;
- $ 500 - 0.05, an increase of 0.02-0.03;
- 1.000 $ - 0.1, an increase of 0.05;
- 2.000 $ - 0.2, an increase of 0.05;
Etc., there are many variations, these are only recommended values.

P.S. All sets of settings in the screenshots are for guidance only!

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