yep.gif
I am still looking at this, but after running some tests I am seeing many sets that test well around a decent range of similar parameters, which in my view, is a positive sign (meaning that the strategy is
potentially more robust than most). But don't count this an meaning much with crapTtts.

Here is a five year test based on a one year parameter set (and, no, I did not pick the best set; I picked a set that was among a huge number of similarly performing sets with an acceptable DD, not the max profit if you get me, but that is another discussion). Please note, this is fixed lots, so good sign.... Next step is to narrow the set range (but not too narrow) and see if it walks forward, which I think it will based on the wide range of performing sets. I think this has live potential for those who can handle slow traders. Good trading to all.
PS, Tommaso, I have not been able to get the % feature to work without a critical error. Is it working for you?
SymbolEURJPY (Euro vs Japanese Yen)
Period1 Minute (M1) 2009.03.10 00:00 - 2014.03.09 23:59
ModelEvery tick (the most precise method based on all available least
timeframes)
ParametersMagicNumber=120; slippage=8; AdvertisedSpread=8;
UseFixedLot=true; FixedLot=0.3; DeltaPipsToTakeTrade=25;
DeltaPipsToAddSLOnMondayZone=0; SL_Multiplier=6; TP_Multiplier=2;
SetBEminPipTP3=50; FixedTPforTrade3=false; MA1TF=240; MA1TFMaPeriod=240;
MA1TFMaShift=0; MA1TFMaMethod=3; MA1TFMaAppliedPrice=1;
TailleZonePerCentToMoveSL=0.1; TailleZoneMini=80; TailleZoneMaxi=180;
Risk_percent=3; EndOfZoneDetermingHour=18; UseCloseFriday=false;
RequiredMarginPercentile=1000; CriminalIsECN=true;
Bars in test1858192Ticks modelled76695831Modelling quality99.90%
Mismatched charts errors0
Initial deposit10000.00SpreadCurrent (26)
Total net profit10727.54Gross profit14857.73Gross loss-4130.19
Profit factor3.60Expected payoff143.03
Absolute drawdown1347.30Maximal drawdown2758.05 (20.41%)Relative
drawdown20.41% (2758.05)
Total trades75Short positions (won %)45 (100.00%)Long positions (won %)30
(80.00%)
Profit trades (% of total)69 (92.00%)Loss trades (% of total)6 (8.00%)
Largestprofit trade495.22loss trade-698.36
Averageprofit trade215.33loss trade-688.37
Maximumconsecutive wins (profit in money)42 (8946.62)consecutive losses
(loss in money)3 (-2095.08)
Maximalconsecutive profit (count of wins)8946.62 (42)consecutive loss
(count of losses)-2095.08 (3)
Averageconsecutive wins35consecutive losses3
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