Strategy Tester Report
SC-MT5 (Build 4048)
Settings
Expert: PerceptraderAI_New
Symbol: AUDCAD_Duka
Period: M5 (2010.01.01 - 2025.01.01)
Inputs: MM_Setting=Select the risk settings
CheckForOtherInstances=true
AllowOpeningNewGrid=true
AllowManualTrading=false
LotSizingMethod=1
LotSizingValueFixed=0.01
LotSizingValueDynamic=1000
LotSizingDepositLoadPercent=0.25
FixedInitialDeposit=false
TesterWithdrawal=0.0
WithdrawalAmount=1000.0
RoundingMethod=1
MaximumLot=1000000
AutoSplit=true
MaximumSpread=5.0
MaximumSlippage=5.0
PortfolioMode=false
PortfolioDelay=4000
Consider_WAKA_Orders=true
Consider_GP_Orders=false
MaximumSymbols=2
OnlyOneSymbolGridReachesLevel=0
DisableTradesOnTheSameSide=false
AllowHedging=false
AllowTradingOnHolidays=false
AllowToBuySell=0
MinimumFreeMargin=0.0
MaximumOpenLots=1000000000.0
MaximumOpenLotsAdjustedFor=0
MaximumDrawdown=100.0
MaximumDrawdownForEachSymbol=100.0,100.0,100.0
MaximumDrawdownMoney=0.0
MaxDailyDrawdownLimitPercentFTMO=100.0
MaxDailyDrawdownLimitMoneyFTMO=0.0
MaxDailyDrawdownResetHourFTMO=0
MaxDailyDrawdowTypeFTMO=0
MaximumDrawdownAction=0
DoNothingIfDuringRollover=false
DrawdownCalculation=1
HandleEventsOnEveryTick=false
CheckMarginForAllGridLevels=true
CheckBarsForErrors=true
Time_Setting=Select hours/days to trade
HourToStartTrading=0
MinutesToStartTrading=0
HourToStopTrading=23
MinutesToStopTrading=59
FridayExitHour=0
TradeOnMonday=true
TradeOnTuesday=true
TradeOnWednesday=true
TradeOnThursday=true
TradeOnFriday=true
RolloverStartHour=23
RolloverStartTime=45
RolloverEndHour=0
RolloverEndTime=15
SendOrdersDuringRolloverTime=true
RemoveTakeProfit=false
RemoveStopLoss=false
Strategy_Setting=Select the strategy settings
Symbols=NZDUSD,USDCAD,AUDNZD,AUDCAD,NZDCAD,GBPCHF
SymbolSuffix=_Duka
Symbol_Multiplier=
PercentagePipsMode=false
TradingSetup=0
TradingFrequency=6
DailyATR_Period=5
VolatilityFilterDaily=0.0
ReverseStrategy=false
OpenOppositeTrade=false
Forecasts_Setting=Market Forecasts
UseChatGPT_Forecast=false
UseBard_Forecast=false
MachineLearning_Setting=Select ML settings
EnableNeuralNetworkFilter=true
ProbabilityOfProfit=90
Strategy_Setting_TP=Select TP settings
InitialTP=9.9
WeightedTP=true
GridTP=0.0
BreakEvenAfterThisLevel=0
BreakEvenAfterXBars=0
BreakEvenValue=0.0
BreakEvenAfterThisLevel2=0
BreakEvenAfterXBars2=0
BreakEvenValue2=0.0
BreakEvenAfterThisLevel3=0
BreakEvenAfterXBars3=0
BreakEvenValue3=0.0
HideTP=false
DoNotAdjustTPUnlessNewGrid=false
CoverSwaps=true
Strategy_Setting_SL=Select SL settings
GridSL=0.0
HideSL=false
Trailing_SL_Size_Pips=0.0
Trailing_SL_Start_Pips=10.0
RandomizeLevels=false
RandomDelay=0.0
AllowSending_SL_Along_with_Order=false
Grid_Setting=Adjust the grid distance and multipliers
TradeDistance=25
PauseBetweenGridTrades=0
SmartDistance=true
MaximumTrades=9
CustomMultipliers=1,2,4,8,14,24,41,69
CalculateLevelsFromInitialTrade=true
GridLevelToStart=1
KeepOriginalProfitLotSize=false
ForceBasketClosureOnceInitialOrderClosed=false
SendPushNotificationsAfterThisLevel=0
NewsFilter_Setting=Advanced News Filter
NewsFilterEnabled=true
NewsFilterAction=0
DisableTradingOnHolidays=false
DisableBuiltInSettings=false
CustomEvents=USD
MediumImpactNews=false
LowImpactNews=false
Speaks=false
WaitMinutesBeforeEvent=15
WaitMinutesAfterEvent=15
IncreaseTakeProfitPips=0.0
ShowNewsList=true
NewsListRefreshRate=2
StockMarketFilter_Setting=Stock Market Crash Filter (SPX500 based)
StockMarketFilterEnabled=false
StockMarketSymbol=US500,SPX500
StockMarketFilterPeriod=48
MaxHistoricalVolatility=40.0
BlockTradingForTheEntireDay=false
Additional_Setting=Change the comment and UID if needed
TradeComment=Perceptrader
UID=0
MagicBase=26484
ShowPanel=true
ShowStats=true
FontSize=6
Debug=false
Backtest_Setting=These settings only work in backtests
DisableAutoGMT=false
GMT_offset=2
DST=1
Company: Raw Trading Ltd
Currency: USD
Initial Deposit: 5 000.00
Leverage: 1:500
Results
History Quality: 100% real ticks
Bars: 1043838 Ticks: 307747896 Symbols: 6
Total Net Profit: 13 070 605.79 Balance Drawdown Absolute: 4.04 Equity Drawdown Absolute: 28.04
Gross Profit: 22 072 438.62 Balance Drawdown Maximal: 155 254.85 (1.29%) Equity Drawdown Maximal: 434 649.91 (5.00%)
Gross Loss: -9 001 832.83 Balance Drawdown Relative: 2.58% (48 863.35) Equity Drawdown Relative: 12.01% (20 854.81)
Profit Factor: 2.45 Expected Payoff: 1 126.58 Margin Level: 1681.75%
Recovery Factor: 30.07 Sharpe Ratio: 4.67 Z-Score: -2.61 (99.09%)
AHPR: 1.0007 (0.07%) LR Correlation: 0.78 OnTester result: 0
GHPR: 1.0007 (0.07%) LR Standard Error: 1 858 316.18
Total Trades: 11602 Short Trades (won %): 5178 (74.45%) Long Trades (won %): 6424 (72.03%)
Total Deals: 23204 Profit Trades (% of total): 8482 (73.11%) Loss Trades (% of total): 3120 (26.89%)
Largest profit trade: 170 687.40 Largest loss trade: -82 217.12
Average profit trade: 2 602.27 Average loss trade: -2 673.80
Maximum : 27 (29 408.31) Maximum consecutive losses ($): 4 (-47 718.11)
Maximal : 205 325.00 (14) Maximal consecutive loss (count): -152 932.31 (3)
Average : 4 Average consecutive losses: 1
Graph
Graph
Correlation (Profits,MFE): 0.81 Correlation (Profits,MAE): 0.12 Correlation (MFE,MAE): -0.4043
Graph
Minimal position holding time: 0:00:09 Maximal position holding time: 162:52:40 Average position holding time: 7:54:54
Graph
Orders


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Risk

Forex trading can involve the risk of loss beyond your initial deposit. It is not suitable for all investors and you should make sure you understand the risks involved, seeking independent advice if necessary.

Forex accounts typically offer various degrees of leverage and their elevated profit potential is counterbalanced by an equally high level of risk. You should never risk more than you are prepared to lose and you should carefully take into consideration your trading experience.

Past performance and simulated results are not necessarily indicative of future performance. All the content on this site represents the sole opinion of the author and does not constitute an express recommendation to purchase any of the products described in its pages.