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交易理念

Forex Impulse Trader的交易策略主要思想是检测冲动,然后在同一时间和方向开立两笔交易。

规格

执照

1 个真实账户和 2 个模拟账户。

支持与更新

24/7 支持 + 终身更新。

经纪商/VPS推荐

所有(包括美国的),但我们建议将其安装在 TradingFX VPS 上并在 Tickmill Forex Brokers 上使用以获得最佳效果稳定性和盈利能力。

推荐风险

建议合理交易风险不超过2%。

账户最低余额

建议账户余额至少为 500 - 1000 美元。

退款政策

供应商提供 6 天退款保证。

支持的货币对

EURUSD, GBPUSD, EURAUD, USDJPY, USDCHF and EURJPY

MetaTrader 图表时间框架

M15

99.9% 质量刻度数据回测

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2011.01.04 02:00 - 2017.12.29 02:45
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
aaa="***** General settings *****"; MaxSpread=3; MaxSlippage=1; Magic_1=111111; Magic_2=222222; StopLoss=0; FirstTrade_TP=0; SecondTrade_TP=0; TradesComment="MyFxBots.com - Forex Impulse Trader"; TradingHours="default"; ImpulseLenght=0; bbb="***** GMT Offset Settings *****"; GMT_Offset=3; DST=false; ccc="***** Money Management Settings *****"; Lots=0.01; Risk=1; Recovery=false; MaxRecoveryRisk=5; ddd="***** Trailing Stop Settings *****"; SecondStartTrail=0; SecondTrailStop=0;
Bars in test
174489
Ticks modelled
140997806
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
466680.93
Gross profit
501508.38
Gross loss
-34827.45
Profit factor
14.40
Expected payoff
413.72
Absolute Bal DD
34.96
Maximal Bal DD
4802.16 (1.83%)
Relative Bal DD
2.68% (4403.85)
Total Trades
1128
Short positions (won %)
596 (91.44%)
Long positions (won %)
532 (94.55%)
Profit trades (% of total)
1048 (92.91%)
Loss trades (% of total)
80 (7.09%)
Largest Profit trade
2883.93
Largest Loss trade
-1541.74
Average Profit trade
478.54
Average Loss trade
-435.34
Maximum consecutive wins (profit in money)
83 (34404.95)
Maximum consecutive losses (loss in money)
4 (-3024.03)
Maximal consecutive profit (count of wins)
82889.85 (50)
Maximal consecutive loss (count of losses)
-3049.48 (2)
Avarage consecutive wins
20
Avarage consecutive losses
2

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2011.01.04 02:00 - 2017.12.29 02:45
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
aaa="***** General settings *****"; MaxSpread=3; MaxSlippage=1; Magic_1=111111; Magic_2=222222; StopLoss=0; FirstTrade_TP=0; SecondTrade_TP=0; TradesComment="MyFxBots.com - Forex Impulse Trader"; TradingHours="default"; ImpulseLenght=0; bbb="***** GMT Offset Settings *****"; GMT_Offset=3; DST=false; ccc="***** Money Management Settings *****"; Lots=0.01; Risk=5; Recovery=false; MaxRecoveryRisk=5; ddd="***** Trailing Stop Settings *****"; SecondStartTrail=0; SecondTrailStop=0;
Bars in test
174489
Ticks modelled
140997806
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
670349.75
Gross profit
1986823.38
Gross loss
-1316473.63
Profit factor
1.51
Expected payoff
514.86
Absolute Bal DD
174.76
Maximal Bal DD
84907.12 (11.66%)
Relative Bal DD
24.69% (5362.84)
Total Trades
1302
Short positions (won %)
632 (62.03%)
Long positions (won %)
670 (60.75%)
Profit trades (% of total)
799 (61.37%)
Loss trades (% of total)
503 (38.63%)
Largest Profit trade
20550.61
Largest Loss trade
-16556.04
Average Profit trade
2486.64
Average Loss trade
-2617.24
Maximum consecutive wins (profit in money)
18 (28881.86)
Maximum consecutive losses (loss in money)
8 (-66481.23)
Maximal consecutive profit (count of wins)
140014.97 (13)
Maximal consecutive loss (count of losses)
-66481.23 (8)
Avarage consecutive wins
3
Avarage consecutive losses
2

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2011.01.04 02:00 - 2017.12.29 02:45
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
aaa="***** General settings *****"; MaxSpread=3; MaxSlippage=1; Magic_1=111111; Magic_2=222222; StopLoss=0; FirstTrade_TP=0; SecondTrade_TP=0; TradesComment="MyFxBots.com - Forex Impulse Trader"; TradingHours="default"; ImpulseLenght=0; bbb="***** GMT Offset Settings *****"; GMT_Offset=3; DST=false; ccc="***** Money Management Settings *****"; Lots=0.01; Risk=1; Recovery=true; MaxRecoveryRisk=5; ddd="***** Trailing Stop Settings *****"; SecondStartTrail=0; SecondTrailStop=0;
Bars in test
174489
Ticks modelled
140997806
Modelling quality
99.90%
Initial Deposit
$10000.00
Spread
Variable

Backtests Results

Total net profit
57893.94
Gross profit
155035.19
Gross loss
-97141.25
Profit factor
1.60
Expected payoff
44.47
Absolute Bal DD
130.87
Maximal Bal DD
6014.77 (12.77%)
Relative Bal DD
12.77% (6014.77)
Total Trades
1302
Short positions (won %)
632 (62.03%)
Long positions (won %)
670 (60.75%)
Profit trades (% of total)
799 (61.37%)
Loss trades (% of total)
503 (38.63%)
Largest Profit trade
1638.26
Largest Loss trade
-1340.59
Average Profit trade
194.04
Average Loss trade
-193.12
Maximum consecutive wins (profit in money)
18 (3543.53)
Maximum consecutive losses (loss in money)
8 (-1213.83)
Maximal consecutive profit (count of wins)
7322.38 (11)
Maximal consecutive loss (count of losses)
-4125.30 (4)
Avarage consecutive wins
3
Avarage consecutive losses
2

Forex Impulse Trader的交易策略

Forex Impulse Trader 进行脉冲检测时所开立的两笔交易均具有单独的止盈: FirstTrade_TPSecondTrade_TP 。当第一笔交易以盈利结束时,EA 会为另一笔正在运行的交易设置新的止盈值。将预设的 SecondTrade_TP 值(以点为单位)添加到第一笔交易的收盘价中,以确定第二笔交易的止盈值。

Forex Impulse Trader 拥有先进的集成资金和账户管理系统。它还可以保护其运行的帐户免受不公平和欺骗性经纪人的侵害。

EA 中现有的损失恢复系统在启用后可以成功补偿之前的损失。在高点差和高滑点期间,市场状况不适合交易,Forex Impulse Trader可以检测到并保护账户。

Forex Impulse Trader 在第3方验证的真实账户上的回撤较低。

风险

外汇交易可能涉及超出您初始存款的损失风险。这并不适合所有投资者,您应确保了解所涉及的风险,如有必要,请寻求独立建议。

外汇账户通常提供不同程度的杠杆,其较高的利润潜力与同样高的风险水平平衡。您永远不应该冒超过您准备损失的风险,并应仔细考虑您的交易经验。

过去的表现和模拟结果并不一定表明未来的表现。本网站上的所有内容仅代表作者的意见,不构成对购买其页面中描述的任何产品的明确建议。