One of my first proper EAs and work in progress 😛
an EA that opens an order in the direction of a customizable macd signal and ema close/ema open cross
ive included money management or fixed lot size
if money management is chosen you can select max lots and min lots – i included that cause when im testing i like not to be stopped out when my broker doesnt support some kind of lot size. atm im using a microlot account with a max of 0.5 lot and 4 digits. i have tried to make it compatible with a 5 digit acct. only thing is the percent risk for a 5 digit acct you have to write 0.3 to get 3 percent risk.
I have made all the indicators customizable for testing.
can enable or disable mail. when enabled it sends a mail to you when it opens an order.
I have found good results on 4h eur/usd with a 40/50pts SL and im using trailing stop of 11pts only cause thats the smallest stabile ts i can make with my broker – they support 8pts ts, but in a fast moving market it could fail.
Ive included a magicnumber but frankly i havent tested it properly yet.
atm im forwardtesting it on a real microaccount.
Hope you like it and feel free to feedback here 😛
Cheers
Symbol | EURUSD_FX (Euro vs US Dollar) | ||||
Periode | 4 Timer (H4) 2011.01.03 00:00 – 2011.12.30 20:00 (2011.01.01 – 2012.01.01) | ||||
Model | Hvert tick (the most precise method based on all available least timeframes) | ||||
Parametre | MagicNumber=12321; SignalMail=true; MM=”Auto money management”; AutoMoneyManagement=true; PercentToRisk=3; MaxLots=999; MinLots=0.01; NoMM=”when AutoMM is off, use lotsize below.”; Lots=0.01; Slippage=3; UseStopLoss=true; StopLoss=40; UseTakeProfit=false; TakeProfit=60; UseTrailingStop=true; TrailingStop=11; Macd=”Quick, Slow, Signal”; Qema=10; Sema=32; Signalmacd=4; Ema=”fast close, slow open.”; Fastema=8; Slowema=13; | ||||
Bars i test | 2556 | Ticks modelleret | 8131424 | Modelkvalitet | 86.27% |
Uoverenstemmende graf fejl | 4 | ||||
Deponeret indledningsvis | 50.00 | ||||
Totale net profit | 637.55 | Bruttofortjeneste (gross profit) | 2665.68 | Bruttotab (gross loss) | -2028.13 |
Profitfaktor | 1.31 | Forventet payoff | 0.70 | ||
Absolut drawdown | 1.81 | Maksimal drawdown | 141.85 (21.33%) | Relativt drawdown | 21.86% (134.90) |
Samlet antal handler | 905 | Short positions (vinder %) | 441 (80.05%) | Long positions (vinder %) | 464 (80.60%) |
Profit handler (% of samlet antal) | 727 (80.33%) | Tabs handler (% af samlet antal) | 178 (19.67%) | ||
Storste | profitgivende handel | 31.90 | tabsgivende handel | -21.65 | |
Gennemsnitlig | profitgivende handel | 3.67 | tabsgivende handel | -11.39 | |
Maksimum | Fortlobende wins (profit in money) | 23 (71.17) | Fortlobende tab (loss in money) | 4 (-11.78) | |
Maksimal | fortlobende profitter (count of wins) | 101.92 (22) | fortlobende tab (count of losses) | -37.75 (2) | |
Gennemsnitlig | fortlobende wins | 5 | fortlobende tab | 1 |