The first optimization with 90% accuracy yielded pretty good results. I have to make a few finer optimizations in order to focus.
The currency is GBPJPY, H1.
Initial account - 10,000$.
I tested it on the last 12 months, with 5% risk per trade.
The best results are 11,240 $ profit, PF (profit factor) 1.5, DD (drawdown) 22.3%, and 114 trades.
Right now I have to continue the optimization with a finer search, in order to find a set with bigger PF, and smaller DD.
I am pleased with the amount of trades.
I also backtested the winning results to verify that the trades are uniformly scatterd on the time axis - and it was fine.
Bac tets results will be in one of the next posts.

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