THE NOMAD TRADER EA MT5

You’ll receive personalized support from the developer throughout the entire process. If you have any questions, please don’t hesitate to reach out.

Telegram: https://t.me/BRobotTrader

Email: intelligentforexrobots@gmail.com

In this video playlist below you can check out the 10 – 20 year tests that i have done with every tick data which testing method is the only one that is working and gives real results.

If you have specific drawdown and profitability parameters that you’d like us to test in QuantAnalyzer, please inform us, and we’ll be glad to assist.

Download the official 10 years portfolio made with QuantAnalyzer: Starting deposit: 3000$, Mode: Medium risk. Prop Trading Compatible.

Download the official 10 years portfolio made with QuantAnalyzer: Starting deposit: 10000$, Mode: Very low risk.

More sets will come for wheat, gasoline, and other commodities)

(All pairs were tested for 10- 20 years with 99.9% every tick data)

Strategy:

The strategy uses cutting edge technology to find the best entry signals and calculate if it fits into the database of statistics that is coded to it to compare the patterns with biological AI system.

Package Contains:

–Full EA with all adjustable settings and parameters to tweak or optimize.

–It uses the NomadTrader© Money Management system with Dynamic exit strategy based on unique Price Action Patterns and indicators combined.

—Time Filter

—Spread Filter

Infos:

–Free updates 

–Best on major and minor pairs, major metals.

–99.9% tick data test.

–10 – 20 Years test with variable spread + calculated slippage, swap and commision.

–minimum optimal desposit: 1000$

–It always uses stop loss and take profit levels strictly with 1:2-1:3 Stop loss:Take Profit ratios to have the needed edge over the market statistically. All parameters are precisely calculated to be in motion with the Core Strategy.

The new price action pattern behind the strategy is entirely developed by me.

patterns that was created by biological algorithm, it is a completely new Price Action pattern Combined with 3 confirmation Indicators.

Risk:Reward is always minimum 1:1 ratio.

DOES NOT USE Dangerous systems like the Grid, martingale and other risky strategies.

Recommendations:

Risk recommendation 1000USD/0.1 lots for low risk secure trading.

use vps for if you can, even better trading experience.

Contact for any question, help on telegram : https://t.me/BRobotTrader

10 year portfolio analysis test with all the pairs combined

Portfolio Analysis

Here’s why portfolio analysis is paramount:

  1. Real-world Application: Trading algorithms are designed to operate in a multi-asset, dynamic market. Portfolio analysis simulates real-world conditions, helping you understand how your algorithm performs when managing a range of assets simultaneously.
  2. Risk Management: Successful trading is not just about maximizing returns but also about minimizing risk. Portfolio analysis allows you to gauge the algorithm’s ability to balance risk and return, helping you fine-tune risk management strategies.
  3. Diversification Impact: A well-structured portfolio reduces reliance on a single asset, spreading risk. Portfolio analysis shows how your algorithm handles asset correlations, diversification, and its impact on overall portfolio stability.
  4. Robustness Testing: By subjecting your algorithm to various market conditions, portfolio analysis reveals its robustness. Can it adapt to different market trends, volatility levels, or economic events?
  5. Performance Metrics: Portfolio analysis provides a comprehensive view of performance metrics like returns, volatility, drawdowns, and the Sharpe ratio. These metrics offer insights into the algorithm’s profitability and risk-adjusted returns.
  6. Optimization Insights: Through portfolio analysis, you can identify asset allocation strategies that maximize returns while managing risk. It helps you optimize your trading algorithm for better outcomes.
  7. Continuous Improvement: Trading algorithms should be dynamic and adaptable. Portfolio analysis guides ongoing refinement, ensuring your algorithm remains effective in evolving market conditions.

In summary, portfolio analysis is the linchpin of trading algorithm testing. It evaluates your algorithm’s real-world viability, risk management capabilities, and overall performance within a diversified portfolio context. By focusing on this crucial step, you can enhance your algorithm’s chances of success in the ever-changing financial markets.

1020 YEARS EVERY TICK TEST RESULTS ON AUDUSD H4, CHFJPY H4, EURUSD H4, NZDUSD H4, USDJPY H4: