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New EA Auto Trading Portfolio (Free EA, No Expiration)

autotradingportfolio , Hello :)
I have a question about "closing positions" (screen below).
Is this ok that in first window sell order (magic 500013) hasn't been closed and in second one same sell (magic 500013) order has been closed ? :emo:
Could I kindly ask you to check this situation?
Thanx
 

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autotradingportfolio , Hello :)
I have a question about "closing positions" (screen below).
Is this ok that in first window sell order (magic 500013) hasn't been closed and in second one same sell (magic 500013) order has been closed ? :emo:
Could I kindly ask you to check this situation?
Thanx
Hi,

Could you please add the volume indicator and inform the indicator value on the bar before the order bar.
 
Hi,
two week forward test with 0.01lot and all pairs. Live account. You can see how better is to have rather small position and all pairs than 0.1 lot on one pair. EURJPY hasn't good period but other pairs helps to make a profit ;-) I did some new tests because profit isn't so big as I have seen in average calculation from bactests but I found, that during summer time it's quite normal.. Is there any plan to add some new pairs or another instruments like gold, stock,? I would like to help with backtests and optimalization..

upload_2018-7-27_16-52-6.png
 

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Hi,
two week forward test with 0.01lot and all pairs. Live account. You can see how better is to have rather small position and all pairs than 0.1 lot on one pair. EURJPY hasn't good period but other pairs helps to make a profit ;-) I did some new tests because profit isn't so big as I have seen in average calculation from bactests but I found, that during summer time it's quite normal.. Is there any plan to add some new pairs or another instruments like gold, stock,? I would like to help with backtests and optimalization..

View attachment 51412
These profit are from 2 week of fwd test? Whats your start balance?

Sent from SoeHoe.ID mobile apps
 
Our Back test

Year Profit Drawdown
2017 1,155 209
2016 891 281
2015 1,914 325
2014 758 155
2013 873 233
2012 1,225 136
2011 1,694 214
2010 2,180 233
2009 2,209 380
2008 3,625 311
2007 722 245
2006 81 329
2005 - 127 555
2004 -68 314
2003 329 298
2002 -115 482
2001 133 435
2000 422 290

Why before 2007 not good profit and big draowdown ?
Good afternoon. And you do not think that this EA can be sewn orders for transactions, so it shows results, good only until 2007. I have been testing the EA for a long time and for all pairs and there are questions why each EA for each pair??? After all, if you think there should be one EA for all pairs if it is based on indicators. And testing different pairs will have different results but they will not vary much. I also tested the EA on a 30-minute chart. At the time it shows good results but 30 minutes is already very bad, why??? The discrepancy should be small in the results!!! Of course I could be wrong, anything is possible. Put the EA on a demo account 4 pairs today that will show after a week the results will post here.
 
Hi,
two week forward test with 0.01lot and all pairs. Live account. You can see how better is to have rather small position and all pairs than 0.1 lot on one pair. EURJPY hasn't good period but other pairs helps to make a profit ;-) I did some new tests because profit isn't so big as I have seen in average calculation from bactests but I found, that during summer time it's quite normal.. Is there any plan to add some new pairs or another instruments like gold, stock,? I would like to help with backtests and optimalization..

View attachment 51412
Hi. You have two readings on the screenshots, one at a profit of 495.84 and below is a shot at a loss of 232.32, so you have a profit of 10 pairs for 2 weeks or a loss?
 
2006 EURUSD draining the Deposit for 4 months
 

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2005 EURUSD full drain of the Deposit for 7 months!!!
 

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EURGBP 2005 $ 72 plus for the whole year!!! why the Advisor does not earn until 2007, and after earning? There can be no such discrepancy in profit! You can test it yourself before 2007. The results will be bad or will drain your Deposit completely.
 

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Hi. You have two readings on the screenshots, one at a profit of 495.84 and below is a shot at a loss of 232.32, so you have a profit of 10 pairs for 2 weeks or a loss?
Firstly , pls, try to read this forum a little. I described indicator. First picture show you Profit and Loss from all closed trades. Difference betwen them is NET P/L and it is important value you want to see.
Second picture show you current profit/loss of all open trades. You can see your current drawdown, number of all current open trades etc.
 
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