Strategy Tester Report
OmegaTrendEA_v1.1
-DemoUK (Build 1353)

SymbolEURUSD (Euro vs US Dollar)
Period1 Hour (H1) 2010.01.07 06:00 - 2021.12.30 23:00 (2010.01.01 - 2021.12.31)
ModelEvery tick (the most precise method based on all available least timeframes)
Parameters
  • GS="==== General Settings ===="
  • LongTrades=true
  • ShortTrades=true
  • NFA_Rules=false
  • Max_Spread=5
  • Max_Slippage=2
  • StealthMode=false
  • OTS="==== Omega Trend Settings ===="
  • Indicator_TimeFrame=60
  • Action_TimeFrame=5
  • Volatility_Period=16
  • Smooth_Factor=0
  • Max_Width_Pips=45
  • Min_Follow_Pips=6
  • TrendLine_Level=3.2
  • PivotLine_Level=0.73
  • Bar_Acceleration=1.2
  • Profit_Acceleration=0
  • S1="==== Signal 1 Settings ===="
  • Signal_1=true
  • Magic_1=10101
  • Comment_Signal_1="Omega Trend EA S1"
  • UseTimeManagement_1=true
  • RecoveryMode_1=false
  • Fixed_Lots_1=0
  • AutoMM_1=2
  • AutoMM_Max_1=10
  • Signal_1_TakeProfit=300
  • Signal_1_StopLoss=50
  • Signal_1_StrongPips=0
  • Swing_Filtering=false
  • Swing_MA_Period=50
  • Swing_Impulse=-40
  • S2="==== Signal 2 Settings ===="
  • Signal_2=true
  • Magic_2=20202
  • Comment_Signal_2="Omega Trend EA S2"
  • UseTimeManagement_2=false
  • RecoveryMode_2=false
  • Fixed_Lots_2=0
  • AutoMM_2=2
  • AutoMM_Max_2=10
  • TargetFactor=0.35
  • Signal_2_TakeProfit=5
  • Signal_2_StopLoss=0
  • Signal_2_Exit_Profit=2
  • MinStop=45
  • IgnoreSmallStopTrades=false
  • TM="==== Time Management System ===="
  • AllowedHour_ForBacktest=-1
  • MondayTrading=true
  • MondayTradingHours="8,9,11,15,16,2,23"
  • TuesdayTrading=true
  • TuesdayTradingHours="8,9,11,15,16,2,23"
  • WednesdayTrading=true
  • WednesdayTradingHours="8,9,11,15,16,2,23"
  • ThursdayTrading=true
  • ThursdayTradingHours="8,9,11,15,16,2,23"
  • FridayTrading=true
  • FridayTradingHours="8,9,11,15,16,2,23"
  • SaturdayTrading=true
  • SaturdayTradingHours=""
  • SundayTrading=true
  • SundayTradingHours=""
Bars in test74830Ticks modelled241898831Modelling quality99.90%
Mismatched charts errors0
Initial deposit10000.00SpreadVariable
Total net profit28496.10Gross profit220905.97Gross loss-192409.87
Profit factor1.15Expected payoff7.82
Absolute drawdown660.02Maximal drawdown9001.21 (19.12%)Relative drawdown19.12% (9001.21)
Total trades3645Short positions (won %)1822 (65.20%)Long positions (won %)1823 (64.62%)
Profit trades (% of total)2366 (64.91%)Loss trades (% of total)1279 (35.09%)
Largestprofit trade1218.81loss trade-454.25
Averageprofit trade93.37loss trade-150.44
Maximumconsecutive wins (profit in money)16 (1673.74)consecutive losses (loss in money)8 (-1466.09)
Maximalconsecutive profit (count of wins)2105.13 (13)consecutive loss (count of losses)-1466.09 (8)
Averageconsecutive wins3consecutive losses2
Graph
#TimeTypeOrderSizePriceS / LT / PProfitBalance


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