Ясность в трейдинге: Упрощение стратегии с ключевыми рыночными инструментами Новейшая система экспертных советников для эффективной автоматизированной торговли Обзор автоматизированного копитрейдинга через MAM-аккаунт: IC Markets, Valery Trading и Algocrat AI Почему ваша стратегия может не работать (и как это исправить) Осваивая грид-трейдинг: Стратегии управления рисками и стабильной прибылью Глубокий анализ торговых результатов Algocrat AI у различных брокеров Избегание слепой торговли: применение подтверждающих сигналов с SMRT Algo Раскрывая Скрытую Логику Крипторынка: Анализ от Valery Trading и Algocrat AI Интеграция модели O3 от OpenAI: инновационные прогнозы в финансовой торговле с Valery Trading Робот-трейдер LeapFX Pump Trader: высокодоходная автоматизированная торговая система Извлекайте выгоду из рыночной волатильности с помощью современных систем торговли Представляем EasyAlgos AI: революционный инструмент в торговле экспертными советниками Торгуйте умнее с SMRT Algo: окончательное решение для трейдинга Повысьте свой торговый успех в 2025 году: 7 привычек, которые должен перенять каждый трейдер с FBS Forex Broker Автоматизируйте свою торговлю с Telegram Signal Copier: Синхронизация сигналов в реальном времени и более умные решения Algocrat AI: Трансформирующая производительность в декабре 2024 года Акция Tickmill: Превратите торговые лоты в денежные вознаграждения Раскройте весь потенциал вашей торговли с помощью профессиональных торговых инструментов от Alpari – улучшите торговлю
Экспертный советник
4.77/5
377 всего голосов.

RobinVOL — это полностью автоматизированный робот Форекс, разработанный RobinTradingHub и управляемый с помощью среды управления услугами и разработками OpenSistemas , которая включает в себя мультиагентное программное обеспечение osBrain для торговой среды.

Торговая идея

Forex RobinVOL торгует на прорывах волатильности и их коррекциях. Он не является скальпером и открывает дополнительные сделки всякий раз, когда выполняются первые условия входа, вплоть до заданного количества сделок, которое по умолчанию равно 8, и торгует только при открытии бара.

Технические характеристики

Лицензия

Неограниченное количество реальных и демо-счетов на одной машине сроком на один год.

соответствие NFA

Да (при включенной настройке FIFO).

Брокер / Форекс VPS

Совместимо с любым Broker. Для лучшей прибыльности и стабильности мы рекомендуем Tickmill, Alpari или [prod -link][104] Форекс-брокеры С TradingFX VPS.

Руководство пользователя/Поддержка

В комплект входит подробное руководство пользователя для начинающих, а также доступна профессиональная круглосуточная поддержка клиентов.

Политика возврата

60-дневный возврат денег, гарантированный продавцом.

Поддерживаемые валютные пары

AUDJPY, AUDUSD, CADJPY, EURAUD, EURGBP, EURJPY, EURUSD, GBPAUD, GBPUSD, USDCAD and USDJPY

Временные рамки графика MetaTrader

M1, non-standard timeframes are supported.

Живое выступление

MyfxBook и FxBlue подтвердили результаты реальных результатов:

Реальные деньги Счет
Начато в
Sep 09, 2013
Кредитное плечо
1:400
Брокер
Pepperstone
Начальный баланс
$Undisclosed
Общая прибыль
+387.64%
MyFxBook (Тестовый хостер)

Резюме живого теста

Начато в
Sep 09, 2013
Кредитное плечо счета
1:400
Фактор прибыли
1.30
Общая прибыль
+387.64%
Абсолютная прибыль
+89.27%
Ежемесячная прибыль
3.36%
Ежедневная прибыль
0.08%
Общее количество пунктов
37245.0
Общее количество сделок
9500
Сумма прибыли
(%) Выигранных сделок
37245.0
Просадка
2.11%
Реальные деньги Счет

Начато в
Apr 27, 2015
Кредитное плечо
1:200
Брокер
FXDD
Начальный баланс
$$1,000
Общая прибыль
+63.65%
MyFxBook (Тестовый хостер)

Резюме живого теста

Начато в
Apr 27, 2015
Кредитное плечо счета
1:200
Фактор прибыли
1.16
Общая прибыль
+63.65%
Абсолютная прибыль
+63.85%
Ежемесячная прибыль
1.06%
Ежедневная прибыль
0.04%
Общее количество пунктов
17966.5
Общее количество сделок
5248
Сумма прибыли
$1341.72
(%) Выигранных сделок
17966.5
Просадка
12.79%

Бэктесты

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2000.01.03 00:00 - 2000.12.29 23:44 (2000.01.01 - 2000.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25797
Ticks modelled
50553
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
66523.87
Gross profit
202882.10
Gross loss
-136358.23
Profit factor
1.49
Expected payoff
146.53
Absolute Bal DD
150.00
Maximal Bal DD
23295.67 (12.97%)
Relative Bal DD
12.97% (23295.67)
Total Trades
454
Short positions (won %)
247 (52.63%)
Long positions (won %)
207 (46.38%)
Profit trades (% of total)
226 (49.78%)
Loss trades (% of total)
228 (50.22%)
Largest Profit trade
8479.75
Largest Loss trade
-2221.10
Average Profit trade
897.71
Average Loss trade
-598.06
Maximum consecutive wins (profit in money)
18 (15104.85)
Maximum consecutive losses (loss in money)
11 (-6503.90)
Maximal consecutive profit (count of wins)
15104.85 (18)
Maximal consecutive loss (count of losses)
-7846.35 (7)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2001.01.01 00:00 - 2001.12.28 23:59 (2001.01.01 - 2001.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25783
Ticks modelled
50547
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
40415.65
Gross profit
145220.35
Gross loss
-104804.70
Profit factor
1.39
Expected payoff
101.04
Absolute Bal DD
5600.44
Maximal Bal DD
14341.02 (10.05%)
Relative Bal DD
10.73% (11346.34)
Total Trades
400
Short positions (won %)
202 (50.00%)
Long positions (won %)
198 (43.94%)
Profit trades (% of total)
188 (47.00%)
Loss trades (% of total)
212 (53.00%)
Largest Profit trade
3195.28
Largest Loss trade
-2544.10
Average Profit trade
772.45
Average Loss trade
-494.36
Maximum consecutive wins (profit in money)
8 (8771.47)
Maximum consecutive losses (loss in money)
12 (-5604.20)
Maximal consecutive profit (count of wins)
8771.47 (8)
Maximal consecutive loss (count of losses)
-9297.19 (5)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2002.01.01 00:00 - 2002.12.30 23:59 (2002.01.01 - 2002.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25831
Ticks modelled
50646
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
31646.40
Gross profit
82307.16
Gross loss
-50660.76
Profit factor
1.62
Expected payoff
108.38
Absolute Bal DD
465.20
Maximal Bal DD
10189.82 (8.97%)
Relative Bal DD
8.97% (10189.82)
Total Trades
292
Short positions (won %)
115 (46.09%)
Long positions (won %)
177 (50.85%)
Profit trades (% of total)
143 (48.97%)
Loss trades (% of total)
149 (51.03%)
Largest Profit trade
2940.44
Largest Loss trade
-960.00
Average Profit trade
575.57
Average Loss trade
-340.01
Maximum consecutive wins (profit in money)
11 (8165.91)
Maximum consecutive losses (loss in money)
19 (-5726.65)
Maximal consecutive profit (count of wins)
8165.91 (11)
Maximal consecutive loss (count of losses)
-6405.78 (10)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2003.01.01 05:45 - 2003.12.30 23:59 (2003.01.01 - 2003.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25868
Ticks modelled
50728
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
45420.91
Gross profit
137464.02
Gross loss
-92043.11
Profit factor
1.49
Expected payoff
135.58
Absolute Bal DD
6674.91
Maximal Bal DD
11915.30 (10.33%)
Relative Bal DD
10.33% (11915.30)
Total Trades
335
Short positions (won %)
162 (41.36%)
Long positions (won %)
173 (51.45%)
Profit trades (% of total)
156 (46.57%)
Loss trades (% of total)
179 (53.43%)
Largest Profit trade
3468.09
Largest Loss trade
-4248.90
Average Profit trade
881.18
Average Loss trade
-514.21
Maximum consecutive wins (profit in money)
10 (8800.40)
Maximum consecutive losses (loss in money)
8 (-4080.35)
Maximal consecutive profit (count of wins)
9166.50 (6)
Maximal consecutive loss (count of losses)
-5807.70 (4)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2004.01.01 00:00 - 2004.12.30 23:59 (2004.01.01 - 2004.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25906
Ticks modelled
50796
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
115159.90
Gross profit
255472.81
Gross loss
-140312.91
Profit factor
1.82
Expected payoff
278.16
Absolute Bal DD
729.35
Maximal Bal DD
17539.67 (10.75%)
Relative Bal DD
10.75% (17539.67)
Total Trades
414
Short positions (won %)
175 (53.71%)
Long positions (won %)
239 (50.63%)
Profit trades (% of total)
215 (51.93%)
Loss trades (% of total)
199 (48.07%)
Largest Profit trade
6232.25
Largest Loss trade
-1875.30
Average Profit trade
1188.25
Average Loss trade
-705.09
Maximum consecutive wins (profit in money)
15 (21140.80)
Maximum consecutive losses (loss in money)
10 (-7150.80)
Maximal consecutive profit (count of wins)
21140.80 (15)
Maximal consecutive loss (count of losses)
-9480.15 (9)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2005.01.03 00:00 - 2005.12.30 22:59 (2005.01.01 - 2005.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25725
Ticks modelled
50428
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
53095.19
Gross profit
222950.42
Gross loss
-169855.23
Profit factor
1.31
Expected payoff
104.93
Absolute Bal DD
3370.10
Maximal Bal DD
19367.44 (11.23%)
Relative Bal DD
12.02% (18935.60)
Total Trades
506
Short positions (won %)
271 (45.02%)
Long positions (won %)
235 (46.38%)
Profit trades (% of total)
231 (45.65%)
Loss trades (% of total)
275 (54.35%)
Largest Profit trade
6159.65
Largest Loss trade
-1550.35
Average Profit trade
965.15
Average Loss trade
-617.66
Maximum consecutive wins (profit in money)
14 (15088.75)
Maximum consecutive losses (loss in money)
14 (-8568.15)
Maximal consecutive profit (count of wins)
15088.75 (14)
Maximal consecutive loss (count of losses)
-10041.98 (11)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2006.01.02 00:30 - 2006.12.29 22:59 (2006.01.01 - 2006.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25579
Ticks modelled
50145
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
25502.40
Gross profit
168610.74
Gross loss
-143108.34
Profit factor
1.18
Expected payoff
47.94
Absolute Bal DD
3523.05
Maximal Bal DD
18371.86 (13.01%)
Relative Bal DD
13.01% (18371.86)
Total Trades
532
Short positions (won %)
256 (41.02%)
Long positions (won %)
276 (47.83%)
Profit trades (% of total)
237 (44.55%)
Loss trades (% of total)
295 (55.45%)
Largest Profit trade
4273.62
Largest Loss trade
-1904.30
Average Profit trade
711.44
Average Loss trade
-485.11
Maximum consecutive wins (profit in money)
11 (8660.63)
Maximum consecutive losses (loss in money)
13 (-8994.94)
Maximal consecutive profit (count of wins)
9180.86 (3)
Maximal consecutive loss (count of losses)
-9996.17 (11)
Avarage consecutive wins
3
Avarage consecutive losses
4

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2007.01.02 08:00 - 2007.12.28 22:59 (2007.01.01 - 2007.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25440
Ticks modelled
49868
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
28564.69
Gross profit
120341.32
Gross loss
-91776.63
Profit factor
1.31
Expected payoff
61.43
Absolute Bal DD
1295.60
Maximal Bal DD
8596.07 (7.93%)
Relative Bal DD
7.93% (8596.07)
Total Trades
465
Short positions (won %)
220 (40.45%)
Long positions (won %)
245 (47.35%)
Profit trades (% of total)
205 (44.09%)
Loss trades (% of total)
260 (55.91%)
Largest Profit trade
2959.00
Largest Loss trade
-1206.95
Average Profit trade
587.03
Average Loss trade
-352.99
Maximum consecutive wins (profit in money)
8 (6483.45)
Maximum consecutive losses (loss in money)
15 (-3485.65)
Maximal consecutive profit (count of wins)
6483.45 (8)
Maximal consecutive loss (count of losses)
-5742.65 (11)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2008.01.02 10:00 - 2008.12.30 23:59 (2008.01.01 - 2008.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25536
Ticks modelled
50067
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
122907.25
Gross profit
298705.75
Gross loss
-175798.50
Profit factor
1.70
Expected payoff
326.88
Absolute Bal DD
3188.05
Maximal Bal DD
24482.70 (10.68%)
Relative Bal DD
10.68% (24482.70)
Total Trades
376
Short positions (won %)
193 (53.37%)
Long positions (won %)
183 (49.18%)
Profit trades (% of total)
193 (51.33%)
Loss trades (% of total)
183 (48.67%)
Largest Profit trade
6869.40
Largest Loss trade
-6016.20
Average Profit trade
1547.70
Average Loss trade
-960.65
Maximum consecutive wins (profit in money)
16 (28991.04)
Maximum consecutive losses (loss in money)
15 (-12429.47)
Maximal consecutive profit (count of wins)
28991.04 (16)
Maximal consecutive loss (count of losses)
-17623.75 (9)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2009.01.02 10:00 - 2009.12.30 23:59 (2009.01.01 - 2009.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25493
Ticks modelled
49981
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
175567.02
Gross profit
325756.45
Gross loss
-150189.43
Profit factor
2.17
Expected payoff
546.94
Absolute Bal DD
10.00
Maximal Bal DD
27985.48 (11.36%)
Relative Bal DD
11.36% (27985.48)
Total Trades
321
Short positions (won %)
164 (53.66%)
Long positions (won %)
157 (50.32%)
Profit trades (% of total)
167 (52.02%)
Loss trades (% of total)
154 (47.98%)
Largest Profit trade
13910.62
Largest Loss trade
-2847.15
Average Profit trade
1950.64
Average Loss trade
-975.26
Maximum consecutive wins (profit in money)
12 (29574.51)
Maximum consecutive losses (loss in money)
12 (-14075.86)
Maximal consecutive profit (count of wins)
29574.51 (12)
Maximal consecutive loss (count of losses)
-14075.86 (12)
Avarage consecutive wins
4
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2010.01.04 00:00 - 2010.12.30 23:59 (2010.01.01 - 2010.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25654
Ticks modelled
50305
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
82912.20
Gross profit
198941.92
Gross loss
-116029.71
Profit factor
1.71
Expected payoff
231.60
Absolute Bal DD
6214.78
Maximal Bal DD
16370.64 (9.16%)
Relative Bal DD
9.16% (16370.64)
Total Trades
358
Short positions (won %)
143 (42.66%)
Long positions (won %)
215 (50.70%)
Profit trades (% of total)
170 (47.49%)
Loss trades (% of total)
188 (52.51%)
Largest Profit trade
7534.47
Largest Loss trade
-2336.00
Average Profit trade
1170.25
Average Loss trade
-617.18
Maximum consecutive wins (profit in money)
14 (22803.02)
Maximum consecutive losses (loss in money)
19 (-14425.85)
Maximal consecutive profit (count of wins)
22803.02 (14)
Maximal consecutive loss (count of losses)
-14425.85 (19)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2011.01.03 00:00 - 2011.12.30 22:59 (2011.01.01 - 2011.12.31)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
25712
Ticks modelled
50423
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
111310.31
Gross profit
248684.49
Gross loss
-137374.18
Profit factor
1.81
Expected payoff
308.34
Absolute Bal DD
1406.55
Maximal Bal DD
23619.03 (13.08%)
Relative Bal DD
13.08% (23619.03)
Total Trades
361
Short positions (won %)
188 (54.26%)
Long positions (won %)
173 (50.87%)
Profit trades (% of total)
190 (52.63%)
Loss trades (% of total)
171 (47.37%)
Largest Profit trade
5005.58
Largest Loss trade
-3431.62
Average Profit trade
1308.87
Average Loss trade
-803.36
Maximum consecutive wins (profit in money)
9 (11254.45)
Maximum consecutive losses (loss in money)
13 (-12124.59)
Maximal consecutive profit (count of wins)
20296.63 (7)
Maximal consecutive loss (count of losses)
-12789.86 (7)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2012.01.02 00:00 - 2012.11.12 23:59 (2012.01.01 - 2012.11.13)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1="----==== TRADE DEFINITION ====----"; Magic_Number=10101; TradeComment="Robin VOL"; fifo=false; s2="----==== POSITION SIZING ====----"; s21="Set Fixed Lots=0 to enable risk Percent (%risk)"; FixedLots=0; s22="Percent of the capital to risk on each trade"; riskPercent=2; s23="Adjust the position to the recent range of the market"; atrAdjustedMM=false; s24="Keep the same size on all trades of the same basket"; KeepTradeSizeInBasket=true; s25="Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)"; UseMinLotIfUnderMinimum=true; s26="Maximum concurrent trades allowed on a basket"; TradesMax=8; s3="----==== CAPITAL PRESERVATION ====----"; s31="Ignore the account balance and limit the capital used to the specified here"; useInitialBalance=false; initialBalance=0; s32="Close all opened trades before friday closing of the market"; avoidTradesOverWeekend=false; s33="Set a secure stop loss and take profit on every trade at a constant distance from the price"; useBracketSLTP=true; bracketSLTPatr=1.1; s333="Use Breakeven"; useBreakeven=true; s34="Friday closing date and time of the market."; fridayClosingDay=5; fridayClosingHour=21; s4="----==== TRADING STRATEGY ====----"; strat_1="--- Strategy 1 ---"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2="--- Strategy 2 ---"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment="(s2)"; exit_str="--- Exit strategy ---"; s44="Take Profit and Stop Loss as a percentage of the recent range"; TP=0.31; SL=0.18; s45="Number of bars to calculate the recent range"; s46="Activate aditional exit conditions after this number of bars"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5="----==== MARKET CONDITIONS ====----"; s51="Maximal acceptable slippage"; Slippage=3; s52="Spread Filter - in pips"; useSpreadFilter=false; maxSpreadInPips=0; s6="----==== BELLS AND WHISTLES ====----"; showInfo=true; saveScreenshots=false; s7="----==== ANALYSIS AND ADVANCED HACKING ====----"; s72="--- S2 control ---"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73="--- Time Filter ---"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71="--- Date filters ---"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81="--- Functional testing ---"; testid=-1;
Bars in test
22508
Ticks modelled
44011
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
50121.59
Gross profit
158119.76
Gross loss
-107998.17
Profit factor
1.46
Expected payoff
119.05
Absolute Bal DD
2448.35
Maximal Bal DD
13654.31 (10.62%)
Relative Bal DD
10.62% (13654.31)
Total Trades
421
Short positions (won %)
215 (49.30%)
Long positions (won %)
206 (45.15%)
Profit trades (% of total)
199 (47.27%)
Loss trades (% of total)
222 (52.73%)
Largest Profit trade
5636.46
Largest Loss trade
-1828.30
Average Profit trade
794.57
Average Loss trade
-486.48
Maximum consecutive wins (profit in money)
14 (9458.67)
Maximum consecutive losses (loss in money)
17 (-9377.62)
Maximal consecutive profit (count of wins)
10535.98 (6)
Maximal consecutive loss (count of losses)
-9377.62 (17)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2000.01.03 00:00 - 2012.11.12 23:59 (2000.01.01 - 2012.11.13)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1=\"----==== TRADE DEFINITION ====----\"; Magic_Number=10101; TradeComment=\"Robin VOL\"; fifo=false; s2=\"----==== POSITION SIZING ====----\"; s21=\"Set Fixed Lots=0 to enable risk Percent (%risk)\"; FixedLots=0.1; s22=\"Percent of the capital to risk on each trade\"; riskPercent=2; s23=\"Adjust the position to the recent range of the market\"; atrAdjustedMM=false; s24=\"Keep the same size on all trades of the same basket\"; KeepTradeSizeInBasket=true; s25=\"Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)\"; UseMinLotIfUnderMinimum=true; s26=\"Maximum concurrent trades allowed on a basket\"; TradesMax=8; s3=\"----==== CAPITAL PRESERVATION ====----\"; s31=\"Ignore the account balance and limit the capital used to the specified here\"; useInitialBalance=false; initialBalance=0; s32=\"Close all opened trades before friday closing of the market\"; avoidTradesOverWeekend=false; s33=\"Set a secure stop loss and take profit on every trade at a constant distance from the price\"; useBracketSLTP=true; bracketSLTPatr=1.1; s333=\"Use Breakeven\"; useBreakeven=true; s34=\"Friday closing date and time of the market.\"; fridayClosingDay=5; fridayClosingHour=21; s4=\"----==== TRADING STRATEGY ====----\"; strat_1=\"--- Strategy 1 ---\"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2=\"--- Strategy 2 ---\"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment=\"(s2)\"; exit_str=\"--- Exit strategy ---\"; s44=\"Take Profit and Stop Loss as a percentage of the recent range\"; TP=0.31; SL=0.18; s45=\"Number of bars to calculate the recent range\"; s46=\"Activate aditional exit conditions after this number of bars\"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5=\"----==== MARKET CONDITIONS ====----\"; s51=\"Maximal acceptable slippage\"; Slippage=3; s52=\"Spread Filter - in pips\"; useSpreadFilter=false; maxSpreadInPips=0; s6=\"----==== BELLS AND WHISTLES ====----\"; showInfo=true; saveScreenshots=false; s7=\"----==== ANALYSIS AND ADVANCED HACKING ====----\"; s72=\"--- S2 control ---\"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73=\"--- Time Filter ---\"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71=\"--- Date filters ---\"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81=\"--- Functional testing ---\"; testid=-1;
Bars in test
319471
Ticks modelled
637799
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
35522.86
Gross profit
94160.16
Gross loss
-58637.30
Profit factor
1.61
Expected payoff
6.76
Absolute Bal DD
7.50
Maximal Bal DD
768.93 (0.67%)
Relative Bal DD
0.68% (698.37)
Total Trades
5255
Short positions (won %)
2561 (47.83%)
Long positions (won %)
2694 (48.33%)
Profit trades (% of total)
2527 (48.09%)
Loss trades (% of total)
2728 (51.91%)
Largest Profit trade
621.01
Largest Loss trade
-141.63
Average Profit trade
37.26
Average Loss trade
-21.49
Maximum consecutive wins (profit in money)
18 (691.42)
Maximum consecutive losses (loss in money)
19 (-267.50)
Maximal consecutive profit (count of wins)
1198.63 (6)
Maximal consecutive loss (count of losses)
-451.32 (5)
Avarage consecutive wins
3
Avarage consecutive losses
3

Backtests Settings

Symbol
EURUSD (Euro vs US Dollar)
Period
15 Minutes (M15) 2000.01.03 00:00 - 2012.11.12 23:59 (2000.01.01 - 2012.11.13)
Broker
Model
Open prices only (only for Expert Advisors that explicitly control bar opening)
Parameters
s1=\"----==== TRADE DEFINITION ====----\"; Magic_Number=10101; TradeComment=\"Robin VOL\"; fifo=false; s2=\"----==== POSITION SIZING ====----\"; s21=\"Set Fixed Lots=0 to enable risk Percent (%risk)\"; FixedLots=0; s22=\"Percent of the capital to risk on each trade\"; riskPercent=2; s23=\"Adjust the position to the recent range of the market\"; atrAdjustedMM=false; s24=\"Keep the same size on all trades of the same basket\"; KeepTradeSizeInBasket=true; s25=\"Use minimum allowed lots by the [link][/forex-broker.html][broker][df] if calculated lotsize is below this minimum (risky)\"; UseMinLotIfUnderMinimum=true; s26=\"Maximum concurrent trades allowed on a basket\"; TradesMax=8; s3=\"----==== CAPITAL PRESERVATION ====----\"; s31=\"Ignore the account balance and limit the capital used to the specified here\"; useInitialBalance=false; initialBalance=0; s32=\"Close all opened trades before friday closing of the market\"; avoidTradesOverWeekend=false; s33=\"Set a secure stop loss and take profit on every trade at a constant distance from the price\"; useBracketSLTP=true; bracketSLTPatr=1.1; s333=\"Use Breakeven\"; useBreakeven=true; s34=\"Friday closing date and time of the market.\"; fridayClosingDay=5; fridayClosingHour=21; s4=\"----==== TRADING STRATEGY ====----\"; strat_1=\"--- Strategy 1 ---\"; Strat_1=true; FastVol=3; SlowVol=60; VolRatio=3; strat_2=\"--- Strategy 2 ---\"; Strat_2=true; osc1Period=8; osc2Period=9; ma_period=65; separation=0.15; maxSeparation=0.75; S2addcomment=\"(s2)\"; exit_str=\"--- Exit strategy ---\"; s44=\"Take Profit and Stop Loss as a percentage of the recent range\"; TP=0.31; SL=0.18; s45=\"Number of bars to calculate the recent range\"; s46=\"Activate aditional exit conditions after this number of bars\"; useTimedExit=false; timedExitBarsTP=140; timedExitFactor=0.4; s5=\"----==== MARKET CONDITIONS ====----\"; s51=\"Maximal acceptable slippage\"; Slippage=3; s52=\"Spread Filter - in pips\"; useSpreadFilter=false; maxSpreadInPips=0; s6=\"----==== BELLS AND WHISTLES ====----\"; showInfo=true; saveScreenshots=false; s7=\"----==== ANALYSIS AND ADVANCED HACKING ====----\"; s72=\"--- S2 control ---\"; useOldS2=false; onlyHighProbabilityS2=false; tightRiskControlS2=true; s73=\"--- Time Filter ---\"; useS2TimeFilter=false; S2TimeFilterStartHour=0; S2TimeFilterEndHour=6; s71=\"--- Date filters ---\"; disableNFP=false; onlyNFP=false; disableSunday=false; disableMonday=false; disableTuesday=false; disableWednesday=false; disableThursday=false; disableFriday=false; disableSaturday=false; onlyMonth=0; s81=\"--- Functional testing ---\"; testid=-1;
Bars in test
319471
Ticks modelled
637799
Modelling quality
n/a
Initial Deposit
$100000.00
Spread

Backtests Results

Total net profit
82035532.95
Gross profit
212359862.00
Gross loss
-130324329.05
Profit factor
1.63
Expected payoff
15610.95
Absolute Bal DD
150.00
Maximal Bal DD
7471681.16 (10.62%)
Relative Bal DD
14.35% (232006.46)
Total Trades
5255
Short positions (won %)
2561 (47.83%)
Long positions (won %)
2694 (48.33%)
Profit trades (% of total)
2527 (48.09%)
Loss trades (% of total)
2728 (51.91%)
Largest Profit trade
3087565.26
Largest Loss trade
-998499.70
Average Profit trade
84036.35
Average Loss trade
-47772.85
Maximum consecutive wins (profit in money)
18 (15104.85)
Maximum consecutive losses (loss in money)
19 (-2037751.18)
Maximal consecutive profit (count of wins)
5771448.14 (6)
Maximal consecutive loss (count of losses)
-5132662.92 (17)
Avarage consecutive wins
3
Avarage consecutive losses
3

Торговая стратегия

По сравнению с предыдущей версией, последняя версия RobinVOL v3.0 представляет собой совершенно новый робот Forex, который включает в себя множество улучшений и новых функций в дополнение к некоторым важным функциям своего предшественника v2.0.

Он торгует на прорывах волатильности. Он входит в позиции в направлениях прорыва, используя две разные стратегии:

  • При возникновении прорыва.
  • На откате прорыва.

Позиции добавляются в направлении прорыва на каждом баре, пока условия выполняются, RobinVOL торгует только на закрытии бара, защищая от некоторых рыночных всплесков и ложных движений.

Если уровни TakeProfit или StopLoss касаются цены торгуемой пары, открытая сделка не закрывается сразу, а RobinVOL ждет закрытия бара, чтобы увидеть, закроется ли цена за этими уровнями, поэтому закрытие каждой сделки всегда будет немного дальше. от уровней TakeProfit и StopLoss.

Режим портфолио

Это новая возможность в последней версии 3 советника. Теперь она может работать с несколькими конфигурациями одновременно, быстро и точно храня и манипулируя рыночными данными.

Управление заказами

В сочетании с портфельным режимом RobinVOL v3.0 теперь может эффективно управлять всеми операциями с одной и той же валютной парой и избегать ненужных комиссий, что повышает его эффективность.

Единый торговый режим

Это традиционный режим торговли предыдущей версии 2.0, он по-прежнему работает в последней версии 3.0, где теперь он более прибыльен благодаря улучшениям, внесенным в последнюю версию, самым важным из которых является возможность торговать на нестандартных таймфреймах. например, 7М и 12М.

Безопасность и защита

Все функции безопасности старой версии 2.0, такие как защита на выходные, брекет StopLoss/TakeProfit и установка начального баланса независимо от реального баланса счета, сохранены в последней версии 3.0 в дополнение к новой возможности указывать размер в валюте счета. для размеров расчетных операций, добавленных в настройки советника.

Расширение вариантов производительности

Теперь поддерживается несколько пар с разными таймфреймами, которые были тщательно выбраны после глубокого анализа производительности и тестирования с использованием различных методов.

Графический интерфейс

Переработанный графический интерфейс теперь интегрирован для отображения важной информации на диаграмме простым и понятным способом для отслеживания информации из разных диаграмм в одном месте.

Настройка структуры файлов и папок

После установки RobinVOL v3.0 ежемесячно обновляемые файлы настроек, которые можно загрузить в официальной зоне клиента, необходимо каждый месяц копировать в папки EA. Была установлена новая структура этих папок, чтобы упростить этот процесс по сравнению с предыдущей версией.

При обновлении файлов настроек в начале каждого месяца сделки за предыдущий месяц по-прежнему будут управляться автоматически, даже если файлы настроек отсутствуют.

RobinVOL v3.0 также может работать с другими роботами Форекс.

Риски

Торговля на Форекс может включать в себя риск убытков, превышающих ваш первоначальный депозит. Это не подходит для всех инвесторов, и вы должны убедиться, что понимаете связанные риски, при необходимости обратиться за независимым советом.

Счета Форекс обычно предлагают различные степени кредитного плеча, и их высокий потенциал прибыли уравновешивается таким же высоким уровнем риска. Вы никогда не должны рисковать больше, чем готовы потерять, и должны тщательно учитывать свой опыт торговли.

Прошлая производительность и смоделированные результаты не обязательно указывают на будущую производительность. Весь контент на этом сайте представляет собой исключительно мнение автора и не является явной рекомендацией покупать любые из описанных продуктов.