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Platinum$_v_4_0_9 ea $3,093.17 can not open price


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Platinum$_v_4_0_9 look good and expensive...

 

http://cgi.ebay.com/Forex-Automatic-trading-Robot-Expert-Advisor-Forex-EA-/230373220726?cmd=ViewItem&pt=LH_DefaultDomain_0&hash=item35a3506176

 

http://www.multiupload.com/IH2PD0P9VO

 

but there is error so can not open price...can senior here educate it:)

thank you....

 

suyadi, i believe the EA is working. The error i saw was Modify Error 1, which doesn't affect the EA at all (since it means the EA changed the SL but the new SL is the same as the old SL, so nothing happens). When you backtest, it may seem like it's not working. That's because it uses a whole bunch of indicators on multiple timeframes. So not only does it not trade often, the backtest may seem like forever to get through each day. Try this, run backtest just for 2009-08-24 to 2009-08-28. You should get 3 trades. The code also accomodates for 4 and 5 digit brokers, so everything's good there. Also, use EURUSD H1 instead of M5.

Good luck.

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It seems to be very profitable one. But there may be some bugs which restrict opening orders. I have back tested from 03.25.2010 to 4.28.2010. if somebody can fixit .It will be profitable.

 

Bars in test 7572

Ticks modelled 737931

Modelling quality n/a

Mismatched charts errors 249

Initial deposit 1000.00

Total net profit 59.43

Gross profit 60.71

Gross loss -1.28

Profit factor 47.35

Expected payoff 2.38

Absolute drawdown 101.94

Maximal drawdown 121.63 (11.93%)

Relative drawdown 11.93% (121.63)

Total trades 25

Short positions (won %) 10 (90.00%)

Long positions (won %) 15 (86.67%)

Profit trades (% of total) 22 (88.00%)

Loss trades (% of total) 3 (12.00%)

Largest

profit trade 12.00

loss trade -1.24

Average

profit trade 2.76

loss trade -0.43

Maximum

consecutive wins (profit in money) 10 (19.73)

consecutive losses (loss in money) 1 (-1.24)

Maximal

consecutive profit (count of wins) 19.73 (10)

consecutive loss (count of losses) -1.24 (1)

Average

consecutive wins 6

consecutive losses 1

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Strategy Tester Report

PlatinumS409

AlpariUK-Demo (Build 226)

 

Symbol EURUSD (Euro vs US Dollar)

Period 5 Minutes (M5) 2010.03.25 22:10 - 2010.04.27 23:55 (2010.03.25 - 2010.04.28)

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

Parameters PLATINUM$="-::SETTINGS::-"; PLM$="minimum ACCOUNT LEVERAGE 100:1 or 200:1 required"; PLM$$="5M charts,HEDGE and micro lots on account required(0.01.....0.13....)"; time_settings="server time. trade on ASIA SESSION"; HourStartSession=0; HourStopSession=23; HourStopSession_Friday=20; Lots=0.01; multiplier=0.05; LotsManagment=false; limit_open_orders=1; Broker5Digits=true; Friday_trade=true; Sunday_trade=true; Number_of_pairs=12; TakeProfit=25; StopLoss=550; StopOpenOrders="DD in % from AccountBalance"; stopopenorders=2; Open_Orders_Management="-::Settings::-"; Trailing=true; TrailingHEDGE=true; TrailingStop=15; TrailingStopHEDGE=5; NumberAttempt=5; Magic=908764679; MagicHEDGE=343232343; sleep=3; Separate="-::SETTINGS ÌÌ::-"; Martingale=true; MartingaleHEDGE=true; MartingaleLastCall=true; MartinTakeProfit=20; MaxKnee=2; MaxKneeLastCall=4; MaxKneeHEDGE=1; MartinHedgeStep=100; MartinHedgeStep2=200; MartinHedgeStep3=300; MartinHEDGETakeProfit=25; StopLossHEDGE=50; MartinLastCallTakeProfit=500; LOF="UseLimitOrdersFunction=TRUE for EURUSD"; UseLimitOrdersFunction=true; TrailingStopForLimitOrders=20; LotsForLimitOrders=0.01; MaxKneeLOF=1; MagicForLimitOrders=393774; A="UseExtraProfits=true for EURUSD,EURGBP,EURCHF"; B="Extra profit booster"; UseExtraProfits=true; magic=3445467; moneymanagement="Money Management"; lotsExtra=0.01; lotsoptimized=false; risk=1; minlot=0.01; maxlot=10; profit=10; loss=30; ordersmanagement="Order Management"; oppositeclose=true; maxtrades=10; hidestop=false; hidetarget=false; buystop=500; buytarget=11; sellstop=500; selltarget=11; timefilter="Time Filter"; gmtshift=2;

Bars in test 7572 Ticks modelled 737931 Modelling quality n/a

Mismatched charts errors 249

Initial deposit 1000.00

Total net profit 59.43 Gross profit 60.71 Gross loss -1.28

Profit factor 47.35 Expected payoff 2.38

Absolute drawdown 101.94 Maximal drawdown 121.63 (11.93%) Relative drawdown 11.93% (121.63)

Total trades 25 Short positions (won %) 10 (90.00%) Long positions (won %) 15 (86.67%)

Profit trades (% of total) 22 (88.00%) Loss trades (% of total) 3 (12.00%)

Largest profit trade 12.00 loss trade -1.24

Average profit trade 2.76 loss trade -0.43

Maximum consecutive wins (profit in money) 10 (19.73) consecutive losses (loss in money) 1 (-1.24)

Maximal consecutive profit (count of wins) 19.73 (10) consecutive loss (count of losses) -1.24 (1)

Average consecutive wins 6 consecutive losses 1

Graph

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