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BUT I change some and results are amazing... GPBUSD 1min, settings are in STRATEGYTESTER.htm file... StrategyTester.gif StrategyTester.htm There is no S/L in this strategy... If You turn on S/L results are bad ...If You turn of S/L, after some good trades You will lose a lot of pips !!!
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http://www.gummy-stuff.org/raff-regression.htm http://www.try-your-luck.com/ Lost in action ;-)... just_raff1410[at]yahoo.com |
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And you ran it on JPY and GBP ? thanks |
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I change settings for GPBUSD: AccountIsMini=false; MoneyManagement=false; TradeSizePercent=5; Lots=1; MaxLots=100; StopLoss=0; TrailingStop=15; UseTrailingStop=true; TrailingStopType=2; FirstMove=20; TrailingStop1=20; SecondMove=30; TrailingStop2=20; ThirdMove=40; TrailingStop3=20; TakeProfit=20; MarginCutoff=300; Slippage=3; UseMACD=true; MACD_Price=1; UseMA_Cross=true; MA_SlowPeriod=21; MA_FastPeriod=2; MA_Shift=1; MA_Mode=2; MA_Price=5; UseMomentum=true; UsePSAR=false; MomentumPeriod=14; MomentumPrice=1; MomentumHigh=100; MomentumLow=100; UseStochLevel=true; Stoch_Mode=0; StochPrice=0; StochHigh=60; StochLow=35; UseStochCross=false; SignalCandle=0; SignalTimeFrame=0; I turn of "UsePSAR=false;" and turn on "UseMA_Cross=true;" ![]()
__________________
http://www.gummy-stuff.org/raff-regression.htm http://www.try-your-luck.com/ Lost in action ;-)... just_raff1410[at]yahoo.com |
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same version. I made some changes and put in a stoploss but I don't know if it outperforms the original.
Are you using initial stoploss? I'm a little hesitant to use it without stoploss. But your results look really good? Did you experience any drawdown? I took out the Lotsoptimized code so that lots would be fixed and added Laguerre indicator to it. I'm forward testing it right now. It hasn't made any trades, yet, though. Everything else is default, though except for 40 pip stoploss and Fixed lots. |
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It has only taken long trades since I have run it. I'm not sure if that is by design, but I think it is a good idea. I honestly don't mind holding a long GBP/JPY position for a long time because of the positive interest. You would have to use smaller lot sizes though to avoid margin calls. One think that might help it is if the EA allowed itself to open more than one trade. For example, if the current position is 50 pips in the hole, let the EA take another trade instead of waiting for the retrace (which could take a long time). Say a max of 5 trades or something that the user could specify. Meanwhile you are gaining interest on the old trade(s) while the EA is trading and gaining pips at the new level. Eventually, you could close out the old trades at your discretion or hold them forever if your account can stand it. Again, small lot sizes would have to be used. Just some thoughts. |
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