Aver4Sto+Postzigzag(Set-up for USDJPY only) – EA MetaTrader 4

Description:

Using 4 Stochastic + post-zigzag indicator(last post). The result is good!!! Profit trades (% of total –82.26%)

Remember inserting Post-zigzag indicator first!!!

This Set-up for USDJPY only and Point=0.00001:

Setup 1: UseMinilot=true—> The result is stable

Setup 2: UseMinilot=false—> Earn more loss more when you met big wave !! 😀

Strategy Tester Report
Aver4Sto+Postzigzag

FxPro.com-Real02 (Build 229)

Setup 1


Symbol USDJPY (US Dollar vs Japanese Yen)
Period 5 Minutes (M5) 2011.05.02 08:15 – 2011.08.19 23:55 (2011.05.01 – 2011.08.22)
Model Every tick (the most precise method based on all available least timeframes)
Parameters MoneyManagement=true; UseMinilot=true; Lots=0.1; MaximumRisk=0.1; MinLot=0.1; MyStopLoss=800; MyTakeProfit=0; Stopoutlevel=50; Nextopenposition=150; Delay=50; Closebyprofit=false; Maxiposition=5; Needprofit=500; Losscan=500; TimeFrameM1=false; TimeFrameM5=true; TimeFrameM15=true; TimeFrameM30=false; TimeFrameM60=false; TimeFrameM240=false;

Bars in test 23041 Ticks modelled 6079450 Modelling quality 43.98%
Mismatched charts errors 0




Initial deposit 500.00



Total net profit 4273.05 Gross profit 5467.34 Gross loss -1194.30
Profit factor 4.58 Expected payoff 68.92

Absolute drawdown 88.51 Maximal drawdown 1525.04 (38.43%) Relative drawdown 47.91% (446.61)

Total trades 62 Short positions (won %) 62 (80.65%) Long positions (won %) 0 (0.00%)

Profit trades (% of total) 50 (80.65%) Loss trades (% of total) 12 (19.35%)
Largest profit trade 773.76 loss trade -402.02
Average profit trade 109.35 loss trade -99.52
Maximum consecutive wins (profit in money) 11 (811.25) consecutive losses (loss in money) 4 (-1008.40)
Maximal consecutive profit (count of wins) 1834.78 (7) consecutive loss (count of losses) -1008.40 (4)
Average consecutive wins 6 consecutive losses 2
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Setup 2:

Symbol USDJPY (US Dollar vs Japanese Yen)
Period 5 Minutes (M5) 2011.05.02 08:15 – 2011.08.19 23:55 (2011.05.01 – 2011.08.22)
Model Every tick (the most precise method based on all available least timeframes)
Parameters MoneyManagement=true; UseMinilot=false; Lots=0.1; MaximumRisk=0.1; MinLot=0.1; MyStopLoss=800; MyTakeProfit=0; Stopoutlevel=50; Nextopenposition=150; Delay=50; Closebyprofit=false; Maxiposition=5; Needprofit=500; Losscan=500; TimeFrameM1=false; TimeFrameM5=true; TimeFrameM15=true; TimeFrameM30=false; TimeFrameM60=false; TimeFrameM240=false;

Bars in test 23041 Ticks modelled 6079450 Modelling quality 43.98%
Mismatched charts errors 0




Initial deposit 500.00



Total net profit 4875.37 Gross profit 12957.56 Gross loss -8082.19
Profit factor 1.60 Expected payoff 78.64

Absolute drawdown 84.19 Maximal drawdown 8715.18 (89.00%) Relative drawdown 89.00% (8715.18)

Total trades 62 Short positions (won %) 62 (82.26%) Long positions (won %) 0 (0.00%)

Profit trades (% of total) 51 (82.26%) Loss trades (% of total) 11 (17.74%)
Largest profit trade 1699.20 loss trade -2421.25
Average profit trade 254.07 loss trade -734.74
Maximum consecutive wins (profit in money) 11 (823.67) consecutive losses (loss in money) 4 (-7668.13)
Maximal consecutive profit (count of wins) 5090.92 (9) consecutive loss (count of losses) -7668.13 (4)
Average consecutive wins 6 consecutive losses 2
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PS: Email to rockyhoangdn@gmail.com if you found mistake when testing on real account. All сomments are welcome!

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