Test ID | Description | Reason For Retiring | Net Gain% | Duration |
WallStret Forex 001 | Primary test: Using a demo account of 10,000 USD. The EA is set on three currency pairs: EUR/USD, GBP/USD, and USD/JPY on M15 time frame, using default settings and a risk of 2%.
Hedging enabled | Test retired due to issues with the MT4 platform. | 10.4% | 4.1 Months |
WallStreet Recovery and Asia 001 | WallStreet Recovery PRO and Asia: We have set up a 1,500 USD demo account, and we have set up the two EAs with hedging enabled and 10% risk (more aggressive approach).
WallStreet Recovery PRO is set up on five pairs: EUR/USD, GBP/USD, USD/JPY, USD/CHF, and AUD/USD on M15 time frame, using recovery settings as follow: Recover After = 100 Max Recovery Trades = 1 Recovery Min Profit = 4
WallStreet Asia is set up on six pairs (instead of the recommended eight) GBP/USD, GBP/CAD, EUR/CHF, USD/CHF, USD/JPY, and USD/CAD on M15 time frame, with TicksTrade enabled. | Retired due to issues with the MT4 platform. | 47.2% | 0.8 Months |
WallStreet (Tweaked) | Primary Test: Running slightly modified settings. CloseOnlyOnProfit = true and RecoveryMode = true. Using 5% risk. | April 1st, 2015 Test retired to open up space for the new 5.0 version. | 41.5% | 45.2 Months |
WallStreet (Default) | Secondary Test: Running all the default settings on recommended pairs. Using 2% risk. | April 1st, 2015 Test retired to open up space for the new 5.0 version. | 19.5% | 48.5 Months |
WallStreet Low-Risk | Low-Risk Option: trading the EURUSD using EUR33 and GBPUSD using GBP30 alternative settings. | April 1st, 2015 Test retired to open up space for the new 5.0 version. | 8.4% | 23.1 Months |
WallStreet NewsFilter | With News Filter: AvoidNews=True, CloseOnlyOnProfit=True, RecoveryMode=True | March '14: The news filter is fine but didn't seem to help avoid many losses. Stopping this account to make room on our servers. | 5.1% | 10.3 Months |
WallStreet Live Test | Live Test: WallStreet on a live ILQ account. Started out trading custom pairs (regretably). See memo tab. AutoMM = 5, CloseOnlyOnProfit = true, RecoveryMode = true. | Dec '13: I decided to stop my live test due to needing the money. The loss shown in this test was caused by trading the EURJPY which was an unsupported pair and entirely my fault. | -13.7% | 20 Months |
WallStreet HotForex | Running all the default settings on EUR/USD, GBP/USD, USD/JPY, and NZD/USD, on a HotForex demo account. Using 2% risk. | Getting similar results as our FXDD test but ran for a shorter period of time. Retiring now in favor of the longer FXDD test. | 4.8% | 9 Months |
WallStreet FinFX | Running all the default settings on EUR/USD, GBP/USD, USD/JPY, and NZD/USD, on a FinFX demo account. Using 2% risk. | Getting similar results as our FXDD test but ran for a shorter period of time. Retiring now in favor of the longer FXDD test. | 9.4% | 9 Months |
WallStreet 005 | Running all the default settings on EUR/USD, GBP/USD, USD/JPY, and USD/CHF, on FinFX, using Tick Sender. | It was apparent that adding the 'ticksender' program to this account did not make much of a difference. Test retired. | 0.4% | 0.5 Months |
WallStreet All-Pairs Modified Settings | All-Pairs Test: Modified settings running on ALL currency pairs. Purely used for per-pair profitability analysis. | March '14: After 2-3 years it's pretty clear that the low-spread and recommended pairs are the ideal pairs to use. Stopping this test to reduce server usage. | -11.8% | 27.6 Months |
WallStreet All-Pairs | All-Pairs Test: Default settings running on ALL currency pairs. Purely used for per-pair profitability analysis. | March '14: After 2-3 years it's pretty clear that the low-spread and recommended pairs are the ideal pairs to use. Stopping this test to reduce server usage. | -15.0% | 31.7 Months |
沒有留言:
張貼留言