After 4 different approached and 4 "tweeks" I have the following results:
Q. Are these results excellent, v.good, good, so so, or they stink?
Under quantity I have 1 or no leverage. I think that's how you read it.
this is for the EUD/USD where a 1% gain is about 135 pips
A backtest of the final optimization going back 6 months to April 2nd yields the following
Total net Profit of .59
Profit factor 1.45
Cumulative Profit 50.67%
sharp Ratio 3.91
percent profitable 52.56%
Ratio avg. Win/avg. Loss 1.31
Max draw down -2.40%
# trades per day 10.11
profit per month 7.41%
I'm afraid that if I run this for the next 3 months that the performance will not be nearly as good since I'm always looking in the past.
any advice.??
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