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CYCLONE-201EU

 

http://trade-cyclone.com/project/201eu_real/eurusd.html

 

UseAlert=false; Use_TWINCOM_Scalping=true; Use_TWINCOM_Reversal=true; CommentSys1="==== 1 ===="; CommentSys2="==== 2 ===="; Magic1=111; Magic2=222; MaxSPREAD=4; Slippage=2; AutoGMT_Offset=false; GMT_Offset_TestMode=1; UseAgresiveMM=true; MMSys1="==== TWINCOM-Trader Scalping MM Parameters ===="; LotsSys1=0.2; TradeMMSys1=0; LossFactorSys1=2; MMSys2="==== TWINCOM-Trader Reversal MM Parameters ===="; LotsSys2=0.1; TradeMMSys2=0; LossFactorSys2=2; CommonMM="==== Main MM Parameters ===="; MMMax=20; MaximalLots=50; Scalping="==== TWINCOM-Trader Scalping System Parameters ===="; BegHourSys_I=22; EndHourSys_I=7; StopLoss=250; TakeProfit=16; TREND_PER=60; TREND_STR=10; OSC_per=14; OSC_upp=-20; OSC_dn=-93; COSC_upp=-22; COSC_dn=-97; Reversal="==== TWINCOM-Trader Reversal System Parameters ===="; BegHourSys_II=23; EndHourSys_II=0; TakeProfit_II=280; StopLoss_II=80; DelayTrailing2=900; MaxPipsTrailing2=140; MinPipsTrailing2=60; ATRPeriod2=14; ATRTrailingFactor2=6.5; BOL_period=18; PrevBreak=-7; BolRangeMin=40; CloseMinute=900;

 

CYCLONE-203EU

 

extern int Magic = 222222;

extern double MaxSPREAD = 6.0;

extern double Lots = 0.1;

extern double TradeLeverage = 0.0;

extern int TakeProfit = 200;

extern int StopLoss = 90;

 

Where are all the settings?

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Strategy Tester Report

CYCLONE-201EU_v1_07 - Missing some settings.

AlpariUK-Demo (Build 229)

 

Symbol EURUSD (Euro vs US Dollar)

Period 5 Minutes (M5) 2011.03.28 00:00 - 2011.05.20 23:50 (2011.03.28 - 2011.05.21)

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

Parameters Comment1="== ScalpingSystem =="; Comment2="== TrendFollowSystem =="; MagicNumber1=1212121; MagicNumber2=2323232; MaxSPREAD=50; Slippage=5; BrokersAutoGMT=false; BrokersManualGMT=2; Scalping="==== CYCLONE-201EU ScalpingSystem Inputs ===="; BegHourSys_I=22; EndHourSys_I=7; StopLoss_I=300; StopLoss_I.Hidden=250; TakeProfit_I=50; TakeProfit_I.Hidden=16; ExitMinutes_I=7200; LossPausePips_I=0; LossPauseHours_I=0; TrendFollow="==== CYCLONE-201EU TrendFollowSystem Inputs ===="; BegHourSys_II=23; EndHourSys_II=0; StopLoss_II=120; StopLoss_II.Hidden=80; TakeProfit_II=300; TakeProfit_II.Hidden=280; ExitMinutes_II=7200; LossPausePips_II=0; LossPauseHours_II=0;

 

 

Strategy Tester Report

CYCLONE-201EU

AlpariUK-Demo (Build 226)

 

通貨ペア EURUSD (Euro vs US Dollar)

期間 5分足(M5) 1999.10.01 08:50 - 2010.07.01 23:55 (1999.01.01 - 2010.07.02)

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

パラメーター UseAlert=false; Use_TWINCOM_Scalping=true; Use_TWINCOM_Reversal=true; CommentSys1="==== 1 ===="; CommentSys2="==== 2 ===="; Magic1=111; Magic2=222; MaxSPREAD=4; Slippage=2; AutoGMT_Offset=false; GMT_Offset_TestMode=1; UseAgresiveMM=true; MMSys1="==== TWINCOM-Trader Scalping MM Parameters ===="; LotsSys1=0.2; TradeMMSys1=0; LossFactorSys1=2; MMSys2="==== TWINCOM-Trader Reversal MM Parameters ===="; LotsSys2=0.1; TradeMMSys2=0; LossFactorSys2=2; CommonMM="==== Main MM Parameters ===="; MMMax=20; MaximalLots=50; Scalping="==== TWINCOM-Trader Scalping System Parameters ===="; BegHourSys_I=22; EndHourSys_I=7; StopLoss=250; TakeProfit=16; TREND_PER=60; TREND_STR=10; OSC_per=14; OSC_upp=-20; OSC_dn=-93; COSC_upp=-22; COSC_dn=-97; Reversal="==== TWINCOM-Trader Reversal System Parameters ===="; BegHourSys_II=23; EndHourSys_II=0; TakeProfit_II=280; StopLoss_II=80; DelayTrailing2=900; MaxPipsTrailing2=140; MinPipsTrailing2=60; ATRPeriod2=14; ATRTrailingFactor2=6.5; BOL_period=18; PrevBreak=-7; BolRangeMin=40; CloseMinute=900;

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The developer quotes a live account with GBPUSD for Cyclone-201 but I haven't been able to find any setting for that pair ? Anyone else had any luck ? My backtest of EURUSD looks good but rubbish on GBPUSD with default settings.

 

Also, has anyone been able to get hold of Cyclone-204 ? That looks very interesting.

Edited by awalker290865
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  • 2 weeks later...

From the company website...

 

Relative Drawdonw = 66.52% !!!

 

This is EXTREMELY bad! Imagine yourself that you start with a capital of 10,000 and the equity drops down -6,652 in open positions and leave 3,348 of your 10,000. This is a nightmare scenario and totally unacceptable.

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Curious, my 10 year backtest showed low DD and so far in a month live trading looks good particularly with 203PF. Has anyone come across a copy of 204PF ? That seems to be doing well too.

 

Indeed 203 performs really well. Got it live, and 1st month is over 400pips profit now. Can U share detailed statement of this backtest?

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  • 2 weeks later...

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