Manhattan FX
3.83/5
199 总票数.

EA开发团队由来自纽约市的12名行业专家组成;这是一个由经验丰富的外汇交易员和软件开发人员组成的联盟,于 1998 年开始合作,并于 2008 年开始开发曼哈顿外汇机器人。

交易理念

曼哈顿外汇是一款基于突破的外汇机器人,不涉及任何鞅、套利或网格策略。

规格

执照

基本版本仅授权 1 个账户进行 EURUSD 交易, 终极版本授权 1 个账户进行 EURUSD 和 GBPUSD 交易,而2 许可证版本则授权 2 个账户进行 EURUSD 和 GBPUSD 交易。

兼容经纪商

    任何经纪商,只要满足以下要求:
  • 原始点差和佣金(ECN/STP 账户)。
  • 5 位数价格反馈。
  • 高杠杆(最低 1:100)。

[featured_br] 外汇经纪商 推荐!

经纪商/VPS

Tickmill ECN-Pro 账户与 TradingFX VPS 是推荐的 经纪商 账户/VPS 组合。

初始保证金

对最低账户余额没有限制。

支持

通过专门的支持团队 24/7 提供电子邮件支持。

更新

终身免费更新。

支持的货币对

EURUSD only for the Basic Version and EURUSD, GBPUSD for the Ultimate and 2-License Versions.

MetaTrader 图表时间框架

M1

已验证的实时交易结果

演示

开始于
2016/04/22 (GMT)
杠杆
1:500
经纪商
Tickmill
初始余额
$500.00
总收益
+323,911.4%
FxBlue (测试主机)

实时测试摘要

开始于
2016/04/22 (GMT)
账户杠杆
1:500
利润因子
2.22
总收益
+323,911.4%
绝对收益
323,911.43%
月收益
+51.9%
日收益
2.01%
总点数
2,542.5
总交易
1771
利润金额
+1,619,557.14
(%) 赢交易
2,542.5
回撤
-11.6%
演示

开始于
2016/04/22 (GMT)
杠杆
1:500
经纪商
Tickmill
初始余额
$500.00
总收益
+323,911.4%
FxBlue (测试主机)

实时测试摘要

开始于
2016/04/22 (GMT)
账户杠杆
1:500
利润因子
2.22
总收益
+323,911.4%
绝对收益
323,911.43%
月收益
+51.9%
日收益
2.01%
总点数
2,542.5
总交易
1771
利润金额
+1,619,557.14
(%) 赢交易
2,542.5
回撤
-11.6%

回测

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
1 Minute (M1) 2009.12.31 23:00 - 2016.04.08 22:59 (2014.01.04 - 2016.04.08)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Serial="f9dade0470d0ab7e77e0b581ee7e0a9278d493a9"; MagicNumber=212646; Comment_="MANHATTAN EU"; Buy_Enabled=true; Sell_Enabled=true; UseMoneyManagement=true; Lots=1; Risk_Long_Expl="Maximum loss in % on each long trade. Number between 1 and 5."; Risk_Long=5; Risk_Short_Expl="Maximum loss in % on each short trade. Number between 1 and 5."; Risk_Short=5; MaxLot=1000; BalanceRisk_Expl="Maximal Drawdown in %. EA stops trading if it is reached"; BalanceRisk=40;
Bars in test
2319639
Ticks modelled
81592553
Modelling quality
99.00%
Initial Deposit
$1000.00
Spread

Backtests Results

Total net profit
5194945.17
Gross profit
8885323.76
Gross loss
-3690378.59
Profit factor
2.41
Expected payoff
3181.23
Absolute Bal DD
16.50
Maximal Bal DD
251207.57 (11.95%)
Relative Bal DD
11.95% (251207.57)
Total Trades
1633
Short positions (won %)
642 (52.18%)
Long positions (won %)
991 (51.46%)
Profit trades (% of total)
845 (51.75%)
Loss trades (% of total)
788 (48.25%)
Largest Profit trade
347000.00
Largest Loss trade
-64000.00
Average Profit trade
10515.18
Average Loss trade
-4683.22
Maximum consecutive wins (profit in money)
17 (85917.06)
Maximum consecutive losses (loss in money)
12 (-304.32)
Maximal consecutive profit (count of wins)
759000.00 (6)
Maximal consecutive loss (count of losses)
-166778.83 (7)
Avarage consecutive wins
2
Avarage consecutive losses
2

Backtests Settings

Symbol
GBPUSD (Great Britain Pound vs US Dollar)
Period
1 Minute (M1) 2009.12.31 23:00 - 2016.04.08 22:59 (2014.01.04 - 2016.04.08)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Serial_Number="f9dade0470d0ab7e77e0b581ee7e0a9278d493a9"; MagicNumber=212646; Comment_="MANHATTAN GU"; Buy_Enabled=true; Sell_Enabled=true; UseMoneyManagement=true; Lots=1; Risk_Long_Expl="Maximum loss in % on each long trade. Number between 1 and 5."; Risk_Long=5; Risk_Short_Expl="Maximum loss in % on each short trade. Number between 1 and 5."; Risk_Short=5; MaxLot=1000; BalanceRisk_Expl="Maximal Drawdown in %. EA stops trading if it is reached"; BalanceRisk=40;
Bars in test
2319441
Ticks modelled
68666761
Modelling quality
99.00%
Initial Deposit
$1000.00
Spread

Backtests Results

Total net profit
187618.62
Gross profit
352830.91
Gross loss
-165212.29
Profit factor
2.14
Expected payoff
293.15
Absolute Bal DD
17.42
Maximal Bal DD
17078.68 (15.64%)
Relative Bal DD
18.12% (10813.02)
Total Trades
640
Short positions (won %)
334 (51.20%)
Long positions (won %)
306 (56.21%)
Profit trades (% of total)
343 (53.59%)
Loss trades (% of total)
297 (46.41%)
Largest Profit trade
17417.62
Largest Loss trade
-4065.12
Average Profit trade
1028.66
Average Loss trade
-556.27
Maximum consecutive wins (profit in money)
8 (6695.53)
Maximum consecutive losses (loss in money)
7 (-4960.52)
Maximal consecutive profit (count of wins)
23963.14 (5)
Maximal consecutive loss (count of losses)
-7728.08 (4)
Avarage consecutive wins
2
Avarage consecutive losses
2

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
1 Minute (M1) 2009.12.31 23:00 - 2016.04.08 22:59 (2010.01.04 - 2016.04.08)
Broker
Model
Every tick (the most precise method based on all available least timeframes)
Parameters
Serial="f9dada0470d0ab7e77e0b581ee7e0a9278d493a9"; MagicNumber=212646; Comment_="MANHATTAN EU"; Buy_Enabled=true; Sell_Enabled=true; UseMoneyManagement=false; Lots=1; Risk_Long_Expl="Maximum loss in % on each long trade. Number between 1 and 5."; Risk_Long=1; Risk_Short_Expl="Maximum loss in % on each short trade. Number between 1 and 5."; Risk_Short=1; MaxLot=1000; BalanceRisk_Expl="Maximal Drawdown in %. EA stops trading if it is reached"; BalanceRisk=30;
Bars in test
2319639
Ticks modelled
81592553
Modelling quality
99.00%
Initial Deposit
$2000.00
Spread

Backtests Results

Total net profit
53929.93
Gross profit
92051.11
Gross loss
-38121.19
Profit factor
2.41
Expected payoff
11.74
Absolute Bal DD
56.00
Maximal Bal DD
552.18 (15.92%)
Relative Bal DD
15.92% (552.18)
Total Trades
4593
Short positions (won %)
1661 (51.54%)
Long positions (won %)
2932 (53.72%)
Profit trades (% of total)
2431 (52.93%)
Loss trades (% of total)
2162 (47.07%)
Largest Profit trade
873.00
Largest Loss trade
-64.00
Average Profit trade
37.87
Average Loss trade
-17.63
Maximum consecutive wins (profit in money)
17 (742.60)
Maximum consecutive losses (loss in money)
12 (-222.25)
Maximal consecutive profit (count of wins)
985.20 (14)
Maximal consecutive loss (count of losses)
-322.75 (10)
Avarage consecutive wins
2
Avarage consecutive losses
2

交易策略

一般交易功能

作为一款基于突破的外汇机器人, Manhattan FX始终为每笔交易设置止损以保护账户,此外其巧妙的资金管理系统会仔细确定交易机会和每笔交易的合适手数。

交易限额

曼哈顿外汇交易在 2 个许可证版本中限制为 10 手(1000,000 单位),在其他 2 个版本中限制为 5 手(500,000 单位),这对于禁止不必要的高仓位非常有用,并且被认为是一种良好的安全措施。

高扩散滤波器

默认情况下, Manhattan FX 的内置系统会强制机器人在夏季期间和新闻发布之前的价差扩大期间停止交易。如果不需要,可以手动停止此操作。

重要参数

ManhattanFX Parameters ScreenShot

启用买入:此选项可以启用/禁用买入订单执行。

Sell Enabled :此选项可以启用/禁用卖单执行。

MoneyManagement :这是自动资金管理(如果设置为 true)或手动设置固定交易手数(如果设置为 false)之间的切换。

固定手数:如果MoneyManagement设置为 false,您可以在此处手动设置所需的交易手数。

多头交易风险:这是一个百分比 (%) 值,用于设置每笔多头(买入)交易的最大损失。

空头交易风险:这是一个百分比 (%) 值,用于设置每笔空头 (卖出) 交易的最大损失。

** 请注意,多头交易风险空头交易风险仅指一笔交易。

最大手数:此选项确定交易的最大手数。

余额风险:这是允许的最高提款占账户余额的百分比,如果达到该百分比, Manhattan FX将停止交易以保护您的账户。

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。