Portfolio-2025 // first set-file -- EURUSD
4010_CP v3.0 EURUSD -- 15yrs DD below 10prc.set - based on default CP EA v3.0 (with small tweaks to reduce drawdowns).
4010_CP v3.0 EURUSD -- 15yrs DD below 10prc.set - based on default CP EA v3.0 (with small tweaks to reduce drawdowns).
My feedback on new/modified set:
It crashes (ICMarkets data) - wipes out to zero by August 2010 (screen).
On a positive note - if make small adjustment (put a limit "Max current spread=1.4") it produces quite decent results and can be used for high-risk accounts.
What is the reason for the Timefilter? I backtest year 2024 and with a Timefilter i got around 57 EUR Profit, without Timefilter around 85 EUR. I used IC Market Live Account.
When you backtest a long period back, you should consider that the brokercondition may have changed. Example a larger Spread versus an in/out Fee.
Are 5-8% Profit on a yearly bases a good value?
Profit increases when you run sell orders in a other chart than buy order.
The low DD with "sell only", would let you increase Lot size 4-6x, what beat the 2 other versions. Additional you get a positiv Swapfee with certain brokers.
Hello Alexander,
This is my backtesting with your original .set file Roboforex-ECN-Standard
And this is the one I modified:
I have Change:
PartialClose_After=4 to 3
PartialClose_MinProfit=3 to 1
Oscillators_Level_UP_Min=99.86 to 100.01
ADX_Type=3 and Close on Collective to Disable ADX
Time_DST_Mode=2 to 1 (Roboforex)
MT5:
4010_CP v3.0 EURUSD -- 15yrs DD below 10prc....set