PDF to configure the robot DH 15:
https://market.prorealcode.com/wp-content/uploads/2022/04/ReadMeDAX15_EN.pdf
https://market.prorealcode.com/wp-content/uploads/2022/04/ReadMeDAX15_FR.pdf
https://market.prorealcode.com/wp-content/uploads/2022/04/ReadMeDAX15_IT-2.pdf
https://market.prorealcode.com/wp-content/uploads/2022/04/ReadMeDAX15_DE-1.pdf
Performance: Normal Mode, 5% risk per trade (since we sell in MarketPlace):
Jan |
Feb |
Mar |
Apr |
May |
June |
July |
Aug |
Sept |
Oct |
Nov |
Dec |
Year |
6.66% |
17% | 18.46% | 20.20% | -28.74% | -11.91% | -1,9% | -2.15% | 39.95% | -12.97% |
5.41% |
20.22% |
2022 66.7% |
9.64% |
2023 9.3% |
Timeframe: 15min
Take Profit: YES when position is opened and evolutive with market conditions
Stop Loss: YES when position is opened and evolutive with market conditions
Breakeven: YES for keeping your capital safe
Trailing Stop: YES against strong reversals
Risk per trade can be modified from 0% to 5% (2,5% as default)
Fixed Lots: YES from 0.5 contracts to 10 contracts
Reinvest Gains: YES reinvest proportion from 0% to 40%
3 MODES: NORMAL, REINVEST or FIXED LOTS
Version with trades full time (different from version I)
Used for my real account with IG Markets and exactly the same results as backtests
Adapted to capital less than 10 000€ (max 10 contracts with CFD “Allemagne 40 cash 1€”)
For capital superior to 10 000€ see my robot DH DAX 15 PRO
RESULTS:
Initial Capital: 2000€
Risk per Trades: 2.5%
Spread: 2.5 pts (very pessimistic situation)
Normal mode
Initial Capital: 2000€
Risk per Trades: 2.5%
Spread: 2.5 pts (very pessimistic situation)
Reinvest Mode
Reinvestment Proportion: 20%
Initial Capital: 2000€
Risk per Trades: 2.5%
Spread: 2.5 pts (very pessimistic situation)
Fixed Lots Mode
Fixed Lot: 1.5 contracts
jpfamin (Verifizierter Besitzer) –
Ich betreibe diesen Algo seit Juli, er war profitabel bis Januar 2023, dann großer Drawdow: Ich verlor 60% des Gewinns, den ich machte. Jean Paul
pubpascal (Verifizierter Besitzer) –
Die Ergebnisse über drei Monate sind schlecht, besonders bei “short”. Der Roboter scheint optimiert zu sein, da die vergangenen Ergebnisse gut sind, die Ergebnisse nach dem Maj-Datum jedoch nicht. +7.74 im April, -17.2% im Mai, -6.1% im Juni, -1.3% im Juli …ohne die 40e/Monat und einen Drawdown von -25% über diese 3 1/2 Monate zu berücksichtigen.