天猫首页
当前位置: 首页 > 高盈利外汇EA > MT4-GbpJpy H1 EA4

浏览历史

MT4-GbpJpy H1 EA4
prev zoom next

MT4-GbpJpy H1 EA4

  • 本店售价:¥3999元 ¥5999元
  • 商品货号:ECS036518
  • 商品库存: 11111
  • 上架时间:2023-10-13
  • 商品点击数:19

商品描述

商品属性

商品标签

相关商品

The EA was developed for the currency pair GBPJPY time frame H1 . The strategy is built for intraday/swing trading - no scalping, martingale, grid, etc. The EA pass through rigorous testing of robustness and is tested on over 18 years of data with 99% modeling quality!

  • Is intend for GBPJPY H1.
  • EA is designed for UTC+2 timezone with New York DST (EST+7).
  • This is a long-term strategy that makes 2-5 trades per month on average - if you want more trades, more profits, risk diversification and a smoother equity curve, I recommend portfolioing more strategies from my product offering HERE .
  • The strategy of EA goes through rigorous robustness testing - a series of simulations of various market conditions and situations on historical data over the last 15 and more years (testing on OOS data, tests in other markets, Monte Carlo tests for higher spread, slip, volatility, omission and shuffling of trading orders, Walk- Forward Matrix tests etc.).
  • EA has been tested on demo and live accounts for a long time before it was released.


Functions:

  • Opens a maximum of 1 trade at a time , which is always protected by StopLoss!
  • Money management can use a fixed amount or a fixed lot size.
  • No martingales, grids or other dangerous money management methods are used!
  • All settings optimized.
  • Long-term strategy!
  • At 20:00 (UTC+2) we close trading every Friday to avoid weekly gaps.


Strategy of statistics based on backtest from 2003 to 2022:

Fewest trades per year: 25 / average 2.08 trades per month (2018 period)
Most trades per year: 41 / average 3.41 trades per month (2016 period)
Maximum drawdown (at risk of $100 per trade): $1,181 (period 2011/10)
Maximum number of losing trades in a row: 9 (period 2011/5 - 2011/9)
Stagnation: 728 days (period 2010/6 – 2012/5)

Thanks to these statistics, I know what I can expect from the strategy and set the possible risk that I am willing to accept. When the current drawdown is close to the maximum drawdown in history ($1,181 at $100 trade size) I update or shut down the strategy - I don't shut down before to give the strategy room for correction!

In order to diversify the risk, increase the number of trades, increase profits, reduce the maximum drawdown and reduce the stagnation time, I trade the EA in a portfolio with the other EAs that I offer HERE .


Settings:

CustomComment = GBPJPY_H1_4 – Choose your comment to distinguish strategy, or keep default.
MagicNumber = 4 - Choose your number to distinguish strategy, or keep default.
UseMoneyManagement = false/true – If you want to trade only fixed lots use FALSE. If you want to risk fixed money you need to set this to TRUE
mmRiskMoney = 150 - If UseMoneyManagement is set to TRUE, you set the risk in Fixed money.
mmLotsIfNoMM= 0,01 - If UseMoneyManagement is set to FALSE, you set the Fixed Lotsize here.
FridayExitTime = 20:00 - Every trade will be closed at this time every Friday to prevent weekly gaps. This time is UTC+2, adjust this time by your broker timezone.


I recommend you looking at MY OTHER PRODUCTS because the benefits of the portfolio are diversification through the markets, time frames, etc. Portfolio strategies work better together in combination


Disclaimer: Past results are no a guarantee of future results.

商品标签

购买记录(近期成交数量0)

还没有人购买过此商品
总计 0 个记录,共 1 页。 第一页 上一页 下一页 最末页

用户评论(共0条评论)

  • 暂时还没有任何用户评论
总计 0 个记录,共 1 页。 第一页 上一页 下一页 最末页
用户名: 匿名用户
E-mail:
评价等级:
评论内容:
验证码: captcha
在线咨询