I tryed this one with these settings:
TakeProfit=25;
Lots=3;
InitialStop=80;
TrailingStop=20;
MaxTrades=3;
Pips=5;
SecureProfit=10;
risk=24;
TF=Daily;
Pair=GBP/USD;
50k to 850k in 2006 (attached). Also a big profit in 2005. 90% modeling quality.
Forward testing are showing a risky style (attached).
Maybe we can try to improve?
Cheers
