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New EA BENEFIT EA

wih yakin 5 pair gan ? saya tes di demo 2 pair aja masih ngeri2 gan dngn modal 10k, takutnya kalau banyak pair nanti gak kuat nahan floating. tapi boleh tau gak set time filternya agan belajartrading mungkin bisa saya coba juga :). Makasi

udah jalan 2 minggu bro on demo mumpung ada vps nganggur, cuman masih 2 pair aja karna aku masih pakai set default jadi lom brani banyak pair, nunggu set dari agan belajartrading dulu utk timefilternya biar bisa aku coba 5 pair juga :giggle:. gan irruzzz udah coba brp lama ? pakai set yg mana nih?

Agan pakai set file yg agan upload di halaman sebelumnya? Semua trade ane masi floating blm ada yg close dari hari pertama ane test ini indikator

Setting di real pakai yg conservative yg ane dah treadmark in.

Holding period memang lama pakai set conservative, ga usah heran agan2, yg penting aman, kena NFP juga aman menurut ane kok.

Oiya, tips biar ga kelamaan oting (ane pake bbrp hari terakhir) caranya misal kita punya 8 OP USDJPY, 5 OP SELL, 3 OP BUY, total masih loss -$60, perinciannya misalnya OP SELL loss $100, OP BUY OPIT $40, ane akan closed all OP BUY dan biarkan OP SELL sampai closed sendiri, begitu di tutup OP BUY nya floating akan naik dari -$60 jadi -$100, tapi ga masalah biarkan EA yg nutup untuk yg ini.

NOTE: harus closed all satu sisi yah, sisi yg totalnya sudah plus/opit, misal buy ya semua buy di tutup, begitu sebaliknya.
 
Setting di real pakai yg conservative yg ane dah treadmark in.

Holding period memang lama pakai set conservative, ga usah heran agan2, yg penting aman, kena NFP juga aman menurut ane kok.

Oiya, tips biar ga kelamaan oting (ane pake bbrp hari terakhir) caranya misal kita punya 8 OP USDJPY, 5 OP SELL, 3 OP BUY, total masih loss -$60, perinciannya misalnya OP SELL loss $100, OP BUY OPIT $40, ane akan closed all OP BUY dan biarkan OP SELL sampai closed sendiri, begitu di tutup OP BUY nya floating akan naik dari -$60 jadi -$100, tapi ga masalah biarkan EA yg nutup untuk yg ini.

NOTE: harus closed all satu sisi yah, sisi yg totalnya sudah plus/opit, misal buy ya semua buy di tutup, begitu sebaliknya.

makasih gan, coba ane terapin mulai minggu depan gmn hasilnya.
 
I am doing live test on this one. Ran it on Wednesday and Thursday and deactivated on Friday. Both days it made a profit. But still it is to early to say more on this.
My question here is for the BT.
No matter what settings i use the equity drops to the bottom. I am doing monthly tests, and in none recovered before the end of the month, closing the test with big losses.

Although it keeps generating profit the equity still drops, so no point there.

Have you found any good settings, or is there another way to resolve this?
I have tried with set files from this thread, but nothing changed

I have done tests in all time frames up to M15 with Tickstory.

Thank you.
 
Setting di real pakai yg conservative yg ane dah treadmark in.

Holding period memang lama pakai set conservative, ga usah heran agan2, yg penting aman, kena NFP juga aman menurut ane kok.

Oiya, tips biar ga kelamaan oting (ane pake bbrp hari terakhir) caranya misal kita punya 8 OP USDJPY, 5 OP SELL, 3 OP BUY, total masih loss -$60, perinciannya misalnya OP SELL loss $100, OP BUY OPIT $40, ane akan closed all OP BUY dan biarkan OP SELL sampai closed sendiri, begitu di tutup OP BUY nya floating akan naik dari -$60 jadi -$100, tapi ga masalah biarkan EA yg nutup untuk yg ini.

NOTE: harus closed all satu sisi yah, sisi yg totalnya sudah plus/opit, misal buy ya semua buy di tutup, begitu sebaliknya.
Nah kadang NFP bisa membuat harga bergerak begitu cepat masa gan masih aman saja, kalau trend kembali ke awal bisa aman sih kalau pas harga terus saja melaju apa masih aman juga gan? ini modalnya kekny juga perlu gede yah ea
 
Nah kadang NFP bisa membuat harga bergerak begitu cepat masa gan masih aman saja, kalau trend kembali ke awal bisa aman sih kalau pas harga terus saja melaju apa masih aman juga gan? ini modalnya kekny juga perlu gede yah ea
Pada saat NFP, harga umumnya bergerak 100-200 pips (walau kadang lebih) tapi setelahnya (hampir) pasti ada retracement, next order pada EA ini bervariasi mulai dari 60 pips (terkecil) sampai 150 pips, jadi kalaupun harga swing 200pips, hanya akan membuka 3 order, jadi masih jauh dr aman (selama MM dijaga)
 
I am doing live test on this one. Ran it on Wednesday and Thursday and deactivated on Friday. Both days it made a profit. But still it is to early to say more on this.
My question here is for the BT.
No matter what settings i use the equity drops to the bottom. I am doing monthly tests, and in none recovered before the end of the month, closing the test with big losses.

Although it keeps generating profit the equity still drops, so no point there.

Have you found any good settings, or is there another way to resolve this?
I have tried with set files from this thread, but nothing changed

I have done tests in all time frames up to M15 with Tickstory.

Thank you.
What do you mean drop to the bottom? please inform your deposit, starting lot & pairs you are using. Thank
 
What do you mean drop to the bottom? please inform your deposit, starting lot & pairs you are using. Thank

Starting with 50k and 0.01 lots.
But no matter what the profit is, which in most case is not that big to cover the drop, when equity drops down to 41k it is bad. Pair EurUsd

A note here. I have read about the wrong results in the 950 MT4 build. And I have done my tests
there. I will see about the so called fix and if there are any changes to the results.
 
Starting with 50k and 0.01 lots.
But no matter what the profit is, which in most case is not that big to cover the drop, when equity drops down to 41k it is bad. Pair EurUsd

A note here. I have read about the wrong results in the 950 MT4 build. And I have done my tests
there. I will see about the so called fix and if there are any changes to the results.

That's weird, check my real account with only USC 5k, I made USC 681 of profit and only had USC 168 of floating, that's mean my capital (equity) is still growing around USC 500++ or more than 10% of NET PROFIT in just a week.
 
That's weird, check my real account with only USC 5k, I made USC 681 of profit and only had USC 168 of floating, that's mean my capital (equity) is still growing around USC 500++ or more than 10% of NET PROFIT in just a week.

I did the same test in an older MT4 build and i got the same result.
I am doing many tests, even right now with different sets, and i have got better results.
In live trading goes well so far and it hasnt dropped below the capital once witha good profit.

In BT it is another story, It keeps positions open like forever. For example in one month testing it opens positions after 4 days (not the first ones) and they are getting closed
by force after the end of the month, when the test ends with the result of course being bad, since it messes
profit, profit factor etc.
Does this happen to you?
 
I did the same test in an older MT4 build and i got the same result.
I am doing many tests, even right now with different sets, and i have got better results.
In live trading goes well so far and it hasnt dropped below the capital once witha good profit.

In BT it is another story, It keeps positions open like forever. For example in one month testing it opens positions after 4 days (not the first ones) and they are getting closed
by force after the end of the month, when the test ends with the result of course being bad, since it messes
profit, profit factor etc.
Does this happen to you?
yes it happened to me BT results r scary ,but on FT its different,last friday usdjy had a strong move against the EA and equity dropped to almost 550 usd only in one pair USDJPY,but today its getting back and recovering lets see whats gonna happen
 
I am still live testing this one. As the time goes, live results resemble more and more the back tests. Now it has 91 profit with -70 floating. Lets see what will happen
next couple of days.
 
I dont get how this one works really.
It has open positions since yesterday that are losing, reached with lot exponent opening a 0.05 (from 0.01 starting lot and 1.20 multiplier)
Four hours ago closed the 0.05 with profit and one 0.04. Then twp hours ago closed another 0.04 in profit.
It seems that it doesnt use a basket, trying to close all positions in profit.
Probably that is the reason that in Back tests i always see open positions like a month.
I dont like this move to be honest....
 
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