if u change the EMA to 55 and change atr_factor on Volatility.Pivot to 4, you will see better result
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قمت بإضافة فلتر موفينج
UseMaFilter تفعيل أو تعطيل فلتر الموفينج أفريج
MaPeriod الفتره للموفينج أفريج
Ma_Mode نوع الموفينج أفريج
بالنسبه للفلتر فهو يستخدم في الدخول الرئيسي الأول فقط وليس في المضاعفات
نتائج رائعة ما هي الإعدادات التي تعمل عليها أخي
Thank you Mr Dollar - you see: EUR USD today's 2 false signals would have been avoided by using the 100SMA filter - I' am referring to mrdollar-raid-ea-v3 posted on myfxbook - also I do not agree on not closing loosing deals because over time they may accumulate big losses
http://img854.imageshack.us/img854/2923/eurusd.png
Regards
Today the EA took two bad trades. I am going to show them and suggest improvement to the EA
First trade: Sell USD - CAD, what wrong is:
1- the trade is against 100SMA and 2- the trade is against H1 time frame trend:
http://img848.imageshack.us/img848/5934/usdcad30.png
In order to improve the EA, I suggest to involve H1 time frame. The two indicators that I would like to focus on are the 100SMA and the volatility.pivot on both time frames (30min and H1).
The 100SMA suggests a trade zone for both 30min and H1 time frames, this trade zone could be either buy if the price evolves above 100SMA or sell if price evolves below 100SMA. The trade decision always taken on 30min time frame should be in accordance with the 100 SMA trade zone on H1 time frame.
The second indicator volatility.pivot: using atr_factor = 4 on H1 time frame we also obtain a buy or sell zone on H1 time frame that should not be violated by the trade decision (taken on 30 min TF)
http://img850.imageshack.us/img850/5852/usdcadh1.png
So the First conclusion is NOT TO BUY WHEN PRICE EVOLVES BELOW 100SMA (and vice versa for sell). There might be some good buy trades when price evolves below 100SMA but they are too risky for this EA so we do better to avoid them in order to improve the efficiency of the EA. MR dollar added 100SMA filter to the EA (this is of great help) but I will comment it later on with the second tarde.
Second Conclusion: the volatility.pivot indicator with atr_factor = 4 on H1 time frame warrants buy or sell trade zone that should not be violated by smaller time 30min trade decisions: the EA should take trades on 30min time frame only if there are in accordance with H1 trade zone - buy trade on 30minTF for buy zone on H1TF and vice versa for sell).
The second bad trade taken today by the EA is buy trade for EUR/JPY:
http://img861.imageshack.us/img861/6488/eurjpy30mn.png
Buy 1 and Buy 2 are bad trades because they are against 100SMA trend (the price evolves below 100SMA so only sell trades should be considered) even though the EA took one of the two buy bad trades.
Even though Sell 1 and Sell 2 are below 100SMA on 30min time frame, they were not good enough because at the time of both sell trade signals the price still evolves above 100SMA on H1 time frame (the price was actually fighting the 100SMA on H1 TF) .
Sell 3 on 30 min TF was the right one to take because the price eventually suceeded to break through 100SMA on H1 time frame:
http://img861.imageshack.us/img861/4416/eurjpyh1.png
Therefore, I prefer that the 100SMA filter that MR DOLLAR added to the EA would apply to the H1 time frame.
Conclusion: in order to improve the result of the EA I recommend:
The tarde decision (buy or sell) taken on 30min time frame (using atr-factor = 3) should be in conformity with the trade zone estalished on H1 time frime (usine atr_factor = 4). buy trade on 30min TF for trade zone on H1 TF and vice versa for sell.
The SMA filter applies to H1 time frame.
Also there could be an option in the EA to indicate which time frame should apply for the filter and for the trade zone)
Thank you.
To summarise, Mr Dollar I would like you to:
add a possibility for the SMA filter to apply on H1 time frame
and to add another filter using volatility.pivot indicator on H1 time frame with atr-factor = 4 according to which trade on 30min TF should be in the same direction
Regards
تم إضافة فلتر المؤشر بإعدادات أخرى بحيث يجب أن تكون في نفس الإتجاه
وإضافة إمكانية تحديد التايم فريم لفلتر الموفينج أفريج
حتى الآن الإكسبرت محقق نتائج 20% من الحساب والخساره المعلقه 15%
http://www.myfxbook.com/widgets/87917/large.jpg
لذلك سألت نفسي ما هو أفضل حل لإغلاق الصفقات لأني أيضا لا أفضل ترك الصفقات مفتوحه دائما على أمل عودة السعر لها لذلك :
أضفت خيار
CloseAllPairs عند تفعيله سوف يقوم الإكسبرت بالعمل على خاصية بناء الرصيد الأساسي بحيث يتم تحديد ربح معين في المتغير AccountProfitTarget وعندما يصل البالانس إلى ربح معين سواء من الصفقات التي أغلقت أو الصفقات المفتوحه يتم إغلاق جميع الصفقات والبدء من جديد
تم رفع الإكسبرت بالإعدادات الجديده
رابط لمتابعة نتائج الإعدادات 2 النسخه 3.2
http://www.myfxbook.com/widgets/97740/large.jpg
Thank you MR DOLLAR
I have few recommendations:
The additional filter you introduced (related to volatility.pivot indicator) should apply to a different
timeframe for instance it should apply to H1 time frame with atr-factor = 4
Thanks to the additional filters you added to the EA, we can adopt the following trading system
No Take profit for all trades - because according to the new filters, the EA is designed to catch the weekly trend of the currency
-
What I suggest is to let the EA enter trades only during the beginning of week 1 (on Sunday, Monday, Tusday and Wednesday). The EA should not enter additional trades during the rest of week 1 neither during the week after (week 2)
.
The opened trades evolve during the rest of week 1 (Thursday, Friday) and over the whole week2
The EA will close all trades on Friday of week2.
The EA will re-start open new trades starting the beginning of week 3.
The Stop loss can still be setup as volatility.pivot indicator auto trailing stop
Mr Dollar, I am using MBTrading platform for my live account and unfortunately their version of MT4 requires market entries to be bare - for instance, they cannot have TP, SL, Trailing step neither Trailing stop attached to them - could you please modify the code of the attached version of the EA in such manner to let the EA modify the executed order with the desired TP, SL, Trailing step and Trailing stop
right after the market entry
Also could you please introduce a reverse option in the main menu (for user input) for buy instead of sell and vice versa
Many thanks
مرفق نتائج الاكسبيرت النسخة الاولى اعطى ربح خلال شهرين اذا اغلقة الصفات العائمة 50% نسبه طيبه ايش رئيكم.
Mr Dollar, could you please post the settings 2 for version 3.2
Thanks
أخي أسامه أرجو منك تعديل بسيط على النسخة المرفقة
التعديل المطلوب الغاء الباك تست للخطوط والأبقاء على آخر خطين
وزيادة طول الخطين لنهاية اليوم مثل الصورة المرفقة
مع الشكر لك قبل وبعد