Happy Market Hours 是一个剥头皮外汇机器人,基本上是为外汇市场上所有类型的交易者(包括新用户)设计的。 Happy Market Hours 可以使用 MetaTrader 应用程序以任何账户余额规模进行交易。

交易理念

Happy Market Hours 是一款剥头皮 EA,使用相同的 40 点 S/L 和 T/P 限制,默认最大点差为 5 点,基本上是为外汇市场中所有类型的交易者(包括新用户)设计的。

规格

执照

根据购买的版本,EA Happy Forex 完整包有 2 个或 5 个许可证。作者已申请在前 30 天退款期后每年续订许可证密钥,以保护他们的 EA 免遭大量复制。

经纪商兼容性

Happy Market Hours 支持 ECN 经纪商,具有 4 或 5 位自动报价检测功能。
我们建议通过 TradingFX VPS /forex-brokers.html][外汇经纪人 上与 Happy Market Hours 进行交易/www.myfxbots.com/forex-vps-services.html][Forex VPS][df] 以获得最佳稳定性和盈利能力。

用户指南

提供完整教程,包括用户指南 - 英文版、Happy Market Hours - 安装。

更新/升级

终身免费更新和升级。

笔记

购买 EA 副本 Happy Market Hours,您可以完全访问所有其他 Happy Forex 产品,包括 Happy Forex EA(1 个 EA 中的 3 个交易集)、Happy MartiGrid EA、Happy Fast Money EA、[prod- link][127] EA、Happy Way EA、Happy Algorithm PRO EA、Happy News EA、HappyFrequency EA、Happy Breakout EA 和 Happy Gold EA 多合一包。

退款政策

Happy Forex”保证 30 天退款。

支持的货币对

EURUSD, EURCHF, EURGBP, EURCAD, USDCAD, USDCHF, GBPUSD, GBPCAD, GBPCHF, CADCHF

MetaTrader 图表时间框架

M15

第三方验证的前向测试

开始于
Apr 13, 2023
杠杆
1:500
经纪商
ForexMart
初始余额
$$5,000.00
总收益
+0.62%
MyFxBook (测试主机)

实时测试摘要

开始于
Apr 13, 2023
账户杠杆
1:500
利润因子
63.00
总收益
+0.62%
绝对收益
+0.62%
月收益
0.39%
日收益
0.01%
总点数
6.5
总交易
7
利润金额
$0.62
(%) 赢交易
6.5
回撤
0.01%
开始于
Sep 01, 2013
杠杆
1:500
初始余额
$$45,803.80
总收益
+4550.23%
MyFxBook (测试主机)

实时测试摘要

开始于
Sep 01, 2013
账户杠杆
1:500
利润因子
1.90
总收益
+4550.23%
绝对收益
+644.65%
月收益
4.13%
日收益
0.13%
总点数
8166.0
总交易
3305
利润金额
$295274.98
(%) 赢交易
8166.0
回撤
10.16%

回测

版本 1.8 回测 - 99.90% - 风险 5%

2011 - 2016 Happy Market Hours 支持的货币对回测。

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2011.05.31 22:00 - 2016.05.31 21:59
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
124726
Ticks modelled
71793845
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
10

Backtests Results

Total net profit
5287.25
Gross profit
19335.78
Gross loss
-14048.53
Profit factor
1.38
Expected payoff
8.99
Absolute Bal DD
958.70
Maximal Bal DD
1856.47 (13.61%)
Relative Bal DD
13.61% (1856.47)
Total Trades
588
Short positions (won %)
294 (72.79%)
Long positions (won %)
294 (68.03%)
Profit trades (% of total)
414 (70.41%)
Loss trades (% of total)
174 (29.59%)
Largest Profit trade
276.00
Largest Loss trade
-280.07
Average Profit trade
46.70
Average Loss trade
-80.74
Maximum consecutive wins (profit in money)
16 (791.15)
Maximum consecutive losses (loss in money)
6 (-371.88)
Maximal consecutive profit (count of wins)
791.15 (16)
Maximal consecutive loss (count of losses)
-748.00 (3)
Avarage consecutive wins
3
Avarage consecutive losses
1

Backtests Settings

Symbol
EURCHF (Euro vs Swiss Franc)
Period
15 Minutes (M15) 2011.05.31 22:00 - 2016.05.31 21:59
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
124727
Ticks modelled
40154056
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
10

Backtests Results

Total net profit
12775.70
Gross profit
19563.49
Gross loss
-6787.78
Profit factor
2.88
Expected payoff
36.09
Absolute Bal DD
172.14
Maximal Bal DD
1728.33 (10.69%)
Relative Bal DD
10.69% (1728.33)
Total Trades
354
Short positions (won %)
162 (76.54%)
Long positions (won %)
192 (77.08%)
Profit trades (% of total)
272 (76.84%)
Loss trades (% of total)
82 (23.16%)
Largest Profit trade
397.86
Largest Loss trade
-321.67
Average Profit trade
71.92
Average Loss trade
-82.78
Maximum consecutive wins (profit in money)
27 (2359.05)
Maximum consecutive losses (loss in money)
5 (-1552.06)
Maximal consecutive profit (count of wins)
2359.05 (27)
Maximal consecutive loss (count of losses)
-1552.06 (5)
Avarage consecutive wins
4
Avarage consecutive losses
1

Backtests Settings

Symbol
EURGBP (Euro vs Great Britain Pound )
Period
15 Minutes (M15) 2011.05.31 22:00 - 2016.05.31 21:59
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
124704
Ticks modelled
51932190
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
10

Backtests Results

Total net profit
4035.81
Gross profit
9034.80
Gross loss
-4998.99
Profit factor
1.81
Expected payoff
15.46
Absolute Bal DD
54.43
Maximal Bal DD
800.04 (5.93%)
Relative Bal DD
5.93% (800.04)
Total Trades
261
Short positions (won %)
123 (70.73%)
Long positions (won %)
138 (68.84%)
Profit trades (% of total)
182 (69.73%)
Loss trades (% of total)
79 (30.27%)
Largest Profit trade
196.02
Largest Loss trade
-352.94
Average Profit trade
49.64
Average Loss trade
-63.28
Maximum consecutive wins (profit in money)
14 (849.81)
Maximum consecutive losses (loss in money)
5 (-208.49)
Maximal consecutive profit (count of wins)
849.81 (14)
Maximal consecutive loss (count of losses)
-451.59 (4)
Avarage consecutive wins
4
Avarage consecutive losses
2

Backtests Settings

Symbol
EURCAD (Euro vs Canadian Dollar)
Period
15 Minutes (M15) 2011.05.31 22:00 - 2016.05.31 21:59
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
124624
Ticks modelled
78655470
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
10

Backtests Results

Total net profit
37944.15
Gross profit
70488.67
Gross loss
-32544.52
Profit factor
2.17
Expected payoff
44.17
Absolute Bal DD
17.25
Maximal Bal DD
3599.45 (8.54%)
Relative Bal DD
8.54% (3599.45)
Total Trades
859
Short positions (won %)
384 (72.66%)
Long positions (won %)
475 (79.37%)
Profit trades (% of total)
656 (76.37%)
Loss trades (% of total)
203 (23.63%)
Largest Profit trade
865.41
Largest Loss trade
-687.48
Average Profit trade
107.45
Average Loss trade
-160.32
Maximum consecutive wins (profit in money)
24 (1540.03)
Maximum consecutive losses (loss in money)
6 (-2682.29)
Maximal consecutive profit (count of wins)
3240.94 (16)
Maximal consecutive loss (count of losses)
-2682.29 (6)
Avarage consecutive wins
4
Avarage consecutive losses
1

Backtests Settings

Symbol
USDCAD (US Dollar vs Canadian Dollar)
Period
15 Minutes (M15) 2011.05.31 22:00 - 2016.05.31 21:59
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
124689
Ticks modelled
45637793
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
10

Backtests Results

Total net profit
12018.18
Gross profit
23314.60
Gross loss
-11296.42
Profit factor
2.06
Expected payoff
19.35
Absolute Bal DD
89.45
Maximal Bal DD
948.48 (4.91%)
Relative Bal DD
6.14% (673.65)
Total Trades
621
Short positions (won %)
306 (64.38%)
Long positions (won %)
315 (73.97%)
Profit trades (% of total)
430 (69.24%)
Loss trades (% of total)
191 (30.76%)
Largest Profit trade
307.67
Largest Loss trade
-346.24
Average Profit trade
54.22
Average Loss trade
-59.14
Maximum consecutive wins (profit in money)
17 (1057.35)
Maximum consecutive losses (loss in money)
5 (-302.19)
Maximal consecutive profit (count of wins)
1057.35 (17)
Maximal consecutive loss (count of losses)
-670.38 (4)
Avarage consecutive wins
3
Avarage consecutive losses
2

Backtests Settings

Symbol
USDCHF (US Dollar vs Swiss Franc)
Period
15 Minutes (M15) 2016.11.14 16:15 - 2016.11.22 00:00
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
125233
Ticks modelled
65763859
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
Current (10)

Backtests Results

Total net profit
10279.20
Gross profit
21121.17
Gross loss
-10841.97
Profit factor
1.95
Expected payoff
21.73
Absolute Bal DD
55.97
Maximal Bal DD
1686.24 (11.65%)
Relative Bal DD
11.65% (1686.24)
Total Trades
473
Short positions (won %)
240 (72.92%)
Long positions (won %)
233 (74.25%)
Profit trades (% of total)
348 (73.57%)
Loss trades (% of total)
125 (26.43%)
Largest Profit trade
443.72
Largest Loss trade
-393.76
Average Profit trade
60.69
Average Loss trade
-86.74
Maximum consecutive wins (profit in money)
15 (936.31)
Maximum consecutive losses (loss in money)
5 (-1559.96)
Maximal consecutive profit (count of wins)
936.31 (15)
Maximal consecutive loss (count of losses)
-1559.96 (5)
Avarage consecutive wins
4
Avarage consecutive losses
1

Backtests Settings

Symbol
GBPUSD (British Pound vs US Dollar)
Period
15 Minutes (M15) 2016.08.10 12:15 - 2016.11.23 04:00
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
131871
Ticks modelled
82460613
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
Current (13)

Backtests Results

Total net profit
15811.71
Gross profit
31706.94
Gross loss
-15895.23
Profit factor
1.99
Expected payoff
26.05
Absolute Bal DD
96.77
Maximal Bal DD
1220.61 (5.17%)
Relative Bal DD
6.65% (1150.93)
Total Trades
607
Short positions (won %)
297 (74.41%)
Long positions (won %)
310 (74.19%)
Profit trades (% of total)
451 (74.30%)
Loss trades (% of total)
156 (25.70%)
Largest Profit trade
361.81
Largest Loss trade
-527.49
Average Profit trade
70.30
Average Loss trade
-101.89
Maximum consecutive wins (profit in money)
18 (1022.30)
Maximum consecutive losses (loss in money)
4 (-1049.34)
Maximal consecutive profit (count of wins)
1610.93 (14)
Maximal consecutive loss (count of losses)
-1049.34 (4)
Avarage consecutive wins
4
Avarage consecutive losses
1

Backtests Settings

Symbol
GBPCAD (Great Britain Pound vs Canadian Dollar)
Period
15 Minutes (M15) 2016.11.03 14:15 - 2016.12.27 15:45
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
128017
Ticks modelled
98497562
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
Current (29)

Backtests Results

Total net profit
92038.29
Gross profit
151569.26
Gross loss
-59530.96
Profit factor
2.55
Expected payoff
90.68
Absolute Bal DD
49.34
Maximal Bal DD
4401.72 (4.22%)
Relative Bal DD
5.96% (4266.21)
Total Trades
1015
Short positions (won %)
463 (79.48%)
Long positions (won %)
552 (77.54%)
Profit trades (% of total)
796 (78.42%)
Loss trades (% of total)
219 (21.58%)
Largest Profit trade
1788.55
Largest Loss trade
-1560.67
Average Profit trade
190.41
Average Loss trade
-271.83
Maximum consecutive wins (profit in money)
22 (2558.51)
Maximum consecutive losses (loss in money)
4 (-113.68)
Maximal consecutive profit (count of wins)
8227.25 (14)
Maximal consecutive loss (count of losses)
-2639.96 (3)
Avarage consecutive wins
5
Avarage consecutive losses
1

Backtests Settings

Symbol
GBPCHF (British Pound vs Swiss Franc)
Period
15 Minutes (M15) 2016.11.28 12:00 - 2016.12.28 13:30
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
126755
Ticks modelled
92697461
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
Current (24)

Backtests Results

Total net profit
44048.57
Gross profit
73627.17
Gross loss
-29578.59
Profit factor
2.49
Expected payoff
61.18
Absolute Bal DD
139.41
Maximal Bal DD
3367.23 (12.75%)
Relative Bal DD
12.75% (3367.23)
Total Trades
720
Short positions (won %)
353 (77.34%)
Long positions (won %)
367 (76.84%)
Profit trades (% of total)
555 (77.08%)
Loss trades (% of total)
165 (22.92%)
Largest Profit trade
1243.32
Largest Loss trade
-1083.18
Average Profit trade
132.66
Average Loss trade
-179.26
Maximum consecutive wins (profit in money)
26 (4524.26)
Maximum consecutive losses (loss in money)
5 (-2454.79)
Maximal consecutive profit (count of wins)
4524.26 (26)
Maximal consecutive loss (count of losses)
-2454.79 (5)
Avarage consecutive wins
5
Avarage consecutive losses
1

Backtests Settings

Symbol
CADCHF (Canadian Dollar vs Swiss Franc)
Period
15 Minutes (M15) 2016.11.14 08:15 - 2016.12.29 01:45
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Name_EA="Happy Market Hours v1.8"; Serial_Number="XXXXXX"; MAGIC=214365; A="Day of trading"; Monday=true; Friday=true; FridayHour=12; B="Time of trading"; GMT_Offset=0; OpenHour=20; CloseHour=22; C="Set Money Management"; Risk=5; Lots=0; MaxSpread=5; Slippage=2; D="TP-SL (in pips)"; TakeProfit=60; StopLoss=40; E="TrailingStop"; UseTrailingStop=true; TrailingStop=10; F="News Filter Setup"; AvoidNews=true; OnlyForCurrentPair=true; AlwaysIncludeCurrencies="GBP, USD, EUR, CHF, CAD"; ShowLinesOnChart=true; HighImpactColor=185,30,30; MediumImpactColor=225,115,30; LowImpactColor=Goldenrod; High_Impact=true; MinsUntilNextHighNews=360; MinsSincePrevHighNews=180; Medium_Impact=true; MinsUntilNextMediumNews=270; MinsSincePrevMediumNews=90; Low_Impact=true; MinsUntilNextLowNews=180; MinsSincePrevLowNews=60; IncludeSpeaks=true;
Bars in test
127609
Ticks modelled
61709986
Modelling quality
99.00%
Initial Deposit
$10000.00
Spread
Current (18)

Backtests Results

Total net profit
27370.76
Gross profit
41434.81
Gross loss
-14064.05
Profit factor
2.95
Expected payoff
46.00
Absolute Bal DD
112.90
Maximal Bal DD
2531.60 (9.52%)
Relative Bal DD
9.52% (2531.60)
Total Trades
595
Short positions (won %)
269 (83.64%)
Long positions (won %)
326 (73.62%)
Profit trades (% of total)
465 (78.15%)
Loss trades (% of total)
130 (21.85%)
Largest Profit trade
548.77
Largest Loss trade
-699.85
Average Profit trade
89.11
Average Loss trade
-108.18
Maximum consecutive wins (profit in money)
25 (3376.36)
Maximum consecutive losses (loss in money)
5 (-558.02)
Maximal consecutive profit (count of wins)
3376.36 (25)
Maximal consecutive loss (count of losses)
-2012.16 (4)
Avarage consecutive wins
5
Avarage consecutive losses
1

版本 1.0 回测 - 90% - 风险 20%

Happy Market Hours v1.0 (GBPCHF) Strategy | Myfxbook
Happy Market Hours v1.0 (EURCHF) Strategy | Myfxbook
Happy Market Hours v1.0 (EURGBP) Strategy | Myfxbook

交易策略

基于剥头皮策略,Happy Market Hours 使用相同的 40 点止损和止盈限制,产生 1:1 的理论风险回报比。在回测中,该风险回报比可能会降至 2:1,甚至在实时交易中甚至更低,因为 Happy Market Hours 倾向于在达到 S/L 和 T/P 限制之前的市场仓位后定期平仓。然而,EA 中的这些限制值对于剥头皮交易者来说非常理想。

Happy Market Hours 使用的默认最大点差为 5 点,即使在活跃的欧洲或美国交易时段,任何经纪商都无法达到这样的点差(尤其是次要货币对)。在更广泛的亚洲交易时段,这一限制可能更容易被突破。

参数

旧版本的Happy Market Hours v1.1经过回测99.90%进行了新的修改算法倒卖策略和设置更新

而较新版本的EA v1.2增加了新的设置参数;

FFCal 设置:考虑影响新闻发布的新闻过滤器,以便防止 EA 在该新闻发布一定程度(低、中或高)之前或之后的预定小时数内进行交易。

TrailingStop:允许 EA 通过您的仓位保护利润

而下一个 Happy Market Hours v1.3带有更新的设置参数;修复新闻过滤器和新闻货币过滤器,使 EA 能够读取 Excel 报告文件 (.cvs),因为当页面“http://www.forexfactory.com/calendar.php”因任何原因离线时,FFCal 可能会不响应,现在不再需要,新闻过滤器使您可以选择新闻应过滤的货币(美元,欧元,英镑,日元,澳元,加元,瑞士法郎,新西兰元,人民币)

EA 为资金管理提供了由用户编辑预定止盈和止损限制的功能,此外,您还可以调整交易时间,并且可以限制周五的交易活动。

EA v1.4的下一次更新添加了一个新设置,通过更改交易时间(例如将“星期一”设置为“true”或“false”)来防止在设置为 false 的图表日开仓交易。

然后在v1.5中,添加了以下改进:

  • EA 源代码已在指定严格编译模式 (#property strict) 的新 MQL4 中进行了修改。
  • 添加新的序列号生成系统而不使用 DLL,因此 EA 在前测或回测时运行速度更快。
  • 添加了新设置:修复 Newsfilter、NewsFileNumfix CloseHour ,并为所有对提供新的改进设置指示器。

后来在v1.6版本中,除了所有货币对的新改进设置指示器之外, CloseHour还进行了修复。

新闻过滤器设置首次在 EA 的v1.7中添加,并在图表上显示线条:

然后在 EA v1.8的最终更新中,“ FFCal 错误 - 网页下载未完成! ”警报得到了修复。

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。