Improvement to LIVE Default Martingale Set - Optimized for Dec to March
I have worked out for control of DD which happened in the recent past, though at the cost of slight affect on profit.
eur usd default live set with 0.95 Step co-eff.set
Below are the tabulated results for different periods and can be seen that DD has been controlled well over long run as well. Hope this helps the community.May please review and take it live.
Below are my backtest results
eur usd default live set with 0.95 Step co-eff
eur usd default live set (with 0.75 Step co-eff)
It is not hard to avoid DD on the history... But the question is — how this set will work in the future?
It is bad idea to optimize parameters using the latest history. Make your sets on the earlier history and then check them on the last months.