Our strategy reproduces reality and not a utopian scenario with a 100% hit rate as is presented by many other methodologies!
For that, we developed our own strategy based on multilayer stochastics, with timeframes of 1min, 5min, 15min and 30min at the same time. The moment when a "harmony" is identified between all indicators on their respective timeframes, the operation is performed.
Doesn't matter what timeframe you choose, it will always watch the times 1, 5 and 15 minutes. All you need to do is: plug the EA on the Chart, install the specific .set file available below and wait. In the mean time, you can change the timeframe as many time as you you wish.
AUTOLOT:
This is a powerful tool that significantly enhances the absolute gain and stops the investor's losses. As the balance increases, leverage increases as well and risk remains locked at 5%. In other words, there is a reinvestment of earnings and an exponential increase in results accordingly.
The EA comes pre-configured without Autolot, as this tool takes an automatic Equity exposure. To set it up, you need to define two parameters: what is the PIP price of the stock and what is the maximum equity exposure you are willing to take.
For example, assuming you have $10,000 Equity and you are willing to lose up to 5% of that amount in a single transaction, this means that in a given transaction, you could lose up to $500. Thus, considering a stop loss of 0.3%, the amount to be invested is $500/X=0.3% ==> X = $166,666.67. Therefore, your leverage will be approximately 17x.
SMART STOP:
This tool disables stop gain when conditions are favorable and re-enables it when risks increase. As a result, the gain may be higher than the stop gain preset in the parameters. Don't worry, cause Stop Loss will automatically be set if market changes.
CUSTOM MAX (OPTIMIZATION):
We created a proper indicator for setup optimization, through which the Strategy Tester finds the most successful parameters in the most appropriate way. Custom Max weights the Balance, Profic Factor, Number of Transactions, Drawndown and Sharpe indicators all at the same time. In our understanding, it is an improved version of Complex Criterion Max. To better use it, we recommend using Genetic Optimization.
STRATEGY TESTER:
When running the strategy tester, always choose "Every Tick" option instead of "Every tick based on real tick". This is because, normally, your broker does not provide the BID and ASK values properly, and this can lead to wrong results. Therefore, by choosing the "Every Tick" option, the MT5 fills the gaps and guarantees the BID and ASK price for the entire history.
Be aware that several Brazilian brokers does not provide ASK and BID prices.
SET FILES:
IMPORTANT NOTES:
- Be aware of history quality when performing the simulations. This strategy relies on a 1-minute timeframe history. Therefore, very long histories (over 1 month) can make the results very doubtful (almost always)!
- Install the Set File corresponding to the Symbol before using the robot!
- Do not change robot parameters. Even though we give you the flexibility to change them, this is the best setting you can have. If you doubt it or want to test something different, get in touch and we will be happy to simulate.
- The images published refer to a backtest on historical data and, therefore, are not a promise or guarantee of future profitability.
- You can also run Strategy Tester to optimize parameters. However, our calculations are more reliable due to the Quality of History.
DISCLAIMER:
Past performance is no guarantee for the future. Test any EA in Demo account before trading in real account until you feel confident of its performance. Each EA has its peculiarities, input and output signals. The information presented in this description is based on Backtest, so that performance metrics may be different along time.