Quote:
Originally Posted by 7pask7 This is the last version of the robot
the money management logic is changed, you can put values from 1 (0.1 lots) to 50 (5 lots) for the Risk variable.
Let me know how it works for you
Cheers Pask |
Attached is a
risk optimization report. I started from risk 1 to risk 50 in steps of 1. Any risk greater than 28 blew the entire account. Risk 28 generates a DD of 96.14% which is way too high.
From the optimization report, I picked risk 16 as the DD is 57.02%. Attached is a strategy test from risk 16. Highlights:
880% in nine years or 97.89% per year or 8.16% per month
415 trades, 46.11 trades per year or 3.8 trades per month
This last version is the second best (IMHO) of the three versions of your EA that I have tested. The best version is the second one in post #8 and my test results from this version are in post #11.
This is the version that I would like to put on it's own demo account if you are ok with that?
Rick