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Strategy type: Hit & run (find potential signals, launch the position and follow it with a narrow trailing stop and sensitive exit, in a reduced timeframe of 1 minute.
Stop Loss: Always. Variable, max 2.3% on high volatility. Usually around 1.5%
General comments: Low time on the market. Catch profit and go away!
Others: Results are shown for 1.2 contracts at 1€ per point. Half position launched with 0.6 and later an extra position of 0.6 contracts. No partial closures or martingales (MM available, but not shown in results). Different configurations are available, and visible and non-obfuscated code. Visible headers in ProRealTime screenshots are shown here, distinguishing between backtest, real and demo in each case (avoid screens without headers and quick photoshops 🏴☠️). Available versioning and results full information in our website and groups, with full tracking.
Extras: Delivered to be used out-of-the-box, but configurable for experienced users. Money Management and Drawdown control modules are available.
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Interested in trading other commodities? Take a look at our HEPHA GOLD strategy
FULL BACKTESTS OF THE CURRENT VERSION

Current version backtest. 1.2 contracts as default sizing (half position launched with 0.6 and later an extra position of 0.6 contracts) — Positions are quick (less than an hour in some cases, around 2h 20 min in average) and the position graph does not always show the bar with this zoom

The current version, the same as the two previous images. In this case, is a backtest with all the historic data available in a Premium account (1M bars). Note that in “historical mode”, launching 1M bars, the market data sometimes differ a bit and results with 200k could not match at 100%
OLD VERSION RESULTS
The original version was losing around 100€/month in its 3 months on rent. Since developed, the OutOfSample period has still been positive but we had to enhance this system to take care of current subscribers.
We consider that the previous version will return to highs soon, but anyway we found a way to enhancement and that is what the last update includes.
We do not make-up drawdowns, big gains need drawdowns. Avoid magic systems and ratios, don’t be fooled. Our results show always results in Out Of Sample considering always the publication date of each version. Some studies or comparisons could use the last version, but we do not make-up past results with the new versions or optimizations, our official results tables and publications always show the real results)
All our algos have a max 2% Stop Loss (or less), a money management system and a configurable drawdown limit to protect capital in the worst of cases. All images show results with 1 contract configuration.
This algo is delivered to be used “out-of-the-box”, not recommended any change even in changing circumstances. Let us do the best for you, if the strategy has to be updated, we will do it after the corresponding study and period in real in our accounts before distributing it
☆☆ Look at the live tweets for latest results: https://bit.ly/cfdautoSMT-SethCrude ☆☆
With this product license, we offer access to all updates of this strategy and customer support during the license period. You can participate in our support groups, and we can offer to you recommendations about configuration and reinvestment modules, system selection, drawdown and recommended equity…. even portfolio suggestions and coexistence with other systems.
Take a look at our complete portfolio. Stable and reliable systems for all kinds of market circumstances. You can backtest and verify the latest results by yourself using our free and public demo: https://cfdautotrading.com/demo
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