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Of all forms it seems to be Interesting,

Please a coder, can eliminate the part of the code that the perido manipulates:

 

I have optimized with the following parameters, and the result is very good at 2010,

I have tried to put in a real account, but the platform to cracked, please someone can help?

 

=========================================================

Strategy Tester Report

BlackPanther_v1.01

Alpari-Demo (Build 226)

 

Symbol GBPUSD (Great Britain Pound vs US Dollar)

Period 1 Hour (H1) 2010.01.04 00:00 - 2010.04.09 22:00 (2010.01.01 - 2010.04.12)

Model Every tick (the most precise method based on all available least timeframes)

Parameters H.1=" ---------------- Positions Parameters ---------------- "; TakeProfit=250; MaxStopLoss=75; TrailingStop=70; Slippage=3; H.2=" ------------------- Money Managment ------------------- "; Use.Smart.Money.Management=true; Smart.MM.Risk.Factor=0.5; Use.Percent.Risk=false; Percent.Risk=5; Use.Fixed.Lots=false; Fixed.Lots=0.1; H.3=" ------------------- Aggressive Mode ------------------ "; Aggressive.Mode=false; TrendDetect_Sensitivity=50; TrendPower_Sensitivity=0.04; Sup_Res_Sensitivity=3; Sup_Res_Safety_Pips=5; Draw_Sup_Res=true; H.5=" ----------------- General Parameters ------------------ "; TradeComment="BP"; MagicNumber=7777709; MessageColor=DodgerBlue; LinesColor=LightSkyBlue; Arrow.Buy.Color=Lime; Arrow.Sell.Color=Red; Arrow.Width=3; ArrowDistance=30;

Bars in test 2668 Ticks modelled 3439134 Modelling quality 90.00%

Mismatched charts errors 0

Initial deposit 1000.00

Total net profit 10922.90 Gross profit 18084.40 Gross loss -7161.50

Profit factor 2.53 Expected payoff 188.33

Absolute drawdown 72.08 Maximal drawdown 3141.32 (21.94%) Relative drawdown 42.32% (2322.73)

Total trades 58 Short positions (won %) 31 (61.29%) Long positions (won %) 27 (70.37%)

Profit trades (% of total) 38 (65.52%) Loss trades (% of total) 20 (34.48%)

Largest profit trade 2099.75 loss trade -645.01

Average profit trade 475.91 loss trade -358.07

Maximum consecutive wins (profit in money) 6 (1475.85) consecutive losses (loss in money) 4 (-764.67)

Maximal consecutive profit (count of wins) 4036.28 (4) consecutive loss (count of losses) -1654.45 (3)

Average consecutive wins 3 consecutive losses 2

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set file

 

Of all forms it seems to be Interesting,

Please a coder, can eliminate the part of the code that the perido manipulates:

 

I have optimized with the following parameters, and the result is very good at 2010,

I have tried to put in a real account, but the platform to cracked, please someone can help?

 

=========================================================

Strategy Tester Report

BlackPanther_v1.01

Alpari-Demo (Build 226)

 

Symbol GBPUSD (Great Britain Pound vs US Dollar)

Period 1 Hour (H1) 2010.01.04 00:00 - 2010.04.09 22:00 (2010.01.01 - 2010.04.12)

Model Every tick (the most precise method based on all available least timeframes)

Parameters H.1=" ---------------- Positions Parameters ---------------- "; TakeProfit=250; MaxStopLoss=75; TrailingStop=70; Slippage=3; H.2=" ------------------- Money Managment ------------------- "; Use.Smart.Money.Management=true; Smart.MM.Risk.Factor=0.5; Use.Percent.Risk=false; Percent.Risk=5; Use.Fixed.Lots=false; Fixed.Lots=0.1; H.3=" ------------------- Aggressive Mode ------------------ "; Aggressive.Mode=false; TrendDetect_Sensitivity=50; TrendPower_Sensitivity=0.04; Sup_Res_Sensitivity=3; Sup_Res_Safety_Pips=5; Draw_Sup_Res=true; H.5=" ----------------- General Parameters ------------------ "; TradeComment="BP"; MagicNumber=7777709; MessageColor=DodgerBlue; LinesColor=LightSkyBlue; Arrow.Buy.Color=Lime; Arrow.Sell.Color=Red; Arrow.Width=3; ArrowDistance=30;

Bars in test 2668 Ticks modelled 3439134 Modelling quality 90.00%

Mismatched charts errors 0

Initial deposit 1000.00

Total net profit 10922.90 Gross profit 18084.40 Gross loss -7161.50

Profit factor 2.53 Expected payoff 188.33

Absolute drawdown 72.08 Maximal drawdown 3141.32 (21.94%) Relative drawdown 42.32% (2322.73)

Total trades 58 Short positions (won %) 31 (61.29%) Long positions (won %) 27 (70.37%)

Profit trades (% of total) 38 (65.52%) Loss trades (% of total) 20 (34.48%)

Largest profit trade 2099.75 loss trade -645.01

Average profit trade 475.91 loss trade -358.07

Maximum consecutive wins (profit in money) 6 (1475.85) consecutive losses (loss in money) 4 (-764.67)

Maximal consecutive profit (count of wins) 4036.28 (4) consecutive loss (count of losses) -1654.45 (3)

Average consecutive wins 3 consecutive losses 2

 

hi,

 

good BT

 

please can you give me your Set file ?

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you can find in the code that this EA use different parameters for 3 periods: before 2009, 2009, after 2009

 

Hummm, this complicates the things,

This one clear, that I am not a codifier,

Therefore we must forget this EA

 

Thank you for the explanation

Regards

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The EA has been prepared for backtesting :) with codes like these :

   if (!TestSymbol("EURCHF")) {
     if (gi_288 || gi_292) CheckForClose();
     if ((TimeDay(TimeCurrent()) >= 8 && TimeDay(TimeCurrent()) <= 14 && TimeMonth(TimeCurrent()) == 4 && TimeYear(TimeCurrent()) == 2008) || 
         (TimeDay(TimeCurrent()) >= 13 && TimeDay(TimeCurrent()) <= 14 && TimeMonth(TimeCurrent()) == 11 && TimeYear(TimeCurrent()) == 2008) || 
         (TimeDay(TimeCurrent()) >= 4 && TimeDay(TimeCurrent()) <= 8 && TimeMonth(TimeCurrent()) == 12 && TimeYear(TimeCurrent()) == 2008) ||
        (TimeDay(TimeCurrent()) >= 9 && TimeDay(TimeCurrent()) <= 13 && TimeMonth(TimeCurrent()) == 12 && TimeYear(TimeCurrent()) == 2008) || 
        (TimeDay(TimeCurrent()) >= 4 && TimeDay(TimeCurrent()) <= 7 && TimeMonth(TimeCurrent()) == 1 && TimeYear(TimeCurrent()) == 2010)) return (0);

      if (TestSymbol("EURCHF") && 
        (TimeDay(TimeCurrent()) >= 8 && TimeDay(TimeCurrent()) <= 29 && TimeMonth(TimeCurrent()) == 1 && TimeYear(TimeCurrent()) == 2008) || 
        (TimeDay(TimeCurrent()) >= 2 && TimeDay(TimeCurrent()) <= 13 && TimeMonth(TimeCurrent()) == 10 && TimeYear(TimeCurrent()) == 2008) || 
        (TimeDay(TimeCurrent()) >= 14 && TimeDay(TimeCurrent()) <= 29 && TimeMonth(TimeCurrent()) == 3 && TimeYear(TimeCurrent()) == 2008)) return (0);

 

are a worry. Essentially, the EA will not trade during certain days of certain months in 2008 and 2010. It reminds me of the original Forex Derivative.

 

Hello I am no programmer but just my 2 cents worth If one wants to trade say USD/JPY change EA Code at line if (!TestSymbol("EURCHF")) to if (!TestSymbol("USDJPY"))

 

Will this work on for back testing USDJPY

Comments from Expert coders appreciated

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  • 2 weeks later...
  • 3 weeks later...
Guest strmec

I run Black Panther on GBPUSD from 30. April on live account Forex Metal with set: SL-75, TP-250, TS-70, Risk Factor - 0.20 and this is results:

+57 -84

+64 -70

+5 -71

+87 ___

+64 -225

+20

+27

+96

+67

+99

+160

+102

_____

+852

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I run Black Panther on GBPUSD from 30. April on live account Forex Metal with set: SL-75, TP-250, TS-70, Risk Factor - 0.20 and this is results:

+57 -84

+64 -70

+5 -71

+87 ___

+64 -225

+20

+27

+96

+67

+99

+160

+102

_____

+852

 

Do you have live statement or mt4stats link to share these results?

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I run Black Panther on GBPUSD from 30. April on live account Forex Metal with set: SL-75, TP-250, TS-70, Risk Factor - 0.20 and this is results:

+57 -84

+64 -70

+5 -71

+87 ___

+64 -225

+20

+27

+96

+67

+99

+160

+102

_____

+852

 

Hello

Which version are u using 1.01 or 1.02

Has Version 1.02 been educated

 

Thanks

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  • 1 month later...

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