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New EA CoreX G V1.6 MT4

没错,兄弟。我也是 EXNESS 的,有 3 位数字。所以最好知道
3 位数字具体设置...
I also have an EXNESS account, and I've noticed that the TP (Take Profit) and SL (Stop Loss) settings on the EX account are the same as those on other two-digit accounts. However, the trailing stop settings are different, and the trailing stop settings on a two-digit account do not apply to a three-digit account. Is there any expert who can resolve this issue?
 
Thank you for your response bro...
I have read through the 1st post well.
Also i found 32 pages of comments in which i read first 4-5 pages of comments & last 6 pages of comments...
I see many people are mentioning about V1.7 & they have also tried it out in demo & so...
also, there are comments about different types of SET FILEs by different individuals to optimize the EA performance...
I also see people talking about ADP1, ADP2, ADP3 and ADP4.. which i am still yet to find about...

Due to above points, i thought, i would take advice of the experts here...
Is there anything wrong in my approach ? If any let me know plz...

If i had been here from the starting of the thread.. i would volunteer to help a new-comer here...
Your best option is to load ver 1.6 on demo (available in this thread somewhere) set it on 4 different charts with each chart a different ADP. ie one chart ADP1, one chart ADP2 so forth and so on. ADP is the "strategy type" in settings. Leave all other settings as default. Let the bot run for 3-4 weeks and monitor results. DON'T try and rush it, be patient.

Once you have some results you can then start to fine tune the EA to suit your risk appetite and broker ie increase/decrease the TP and SL amounts, adjust trailing, hours of trade, when and how long to avoid news, use of recover options etc.

I say for you to test this because as you have seen there are conflicting messages in the thread. People aren't deliberately trying to mislead but trading will vary from broker to broker, some traders adjust some settings but not others, some will opt for higher risk. Coming up with a set that works for everyone is nearly impossible.

In my short experience with the bot:
- the "trading risk" setting adjusts the max loss. It doesn't make the EA more aggressive (if someone has different experience please share)
- the EA doesn't trade very often, sometime days between trades.
- be careful when first loading the EA/starting mt4 with EA attached. Sometimes it takes a trade straight away, not sure if this is coincidence or a bug, still testing, but it seems out of character for the EA.

Good luck and report how you get on.
 
Your best option is to load ver 1.6 on demo (available in this thread somewhere) set it on 4 different charts with each chart a different ADP. ie one chart ADP1, one chart ADP2 so forth and so on. ADP is the "strategy type" in settings. Leave all other settings as default. Let the bot run for 3-4 weeks and monitor results. DON'T try and rush it, be patient.

Once you have some results you can then start to fine tune the EA to suit your risk appetite and broker ie increase/decrease the TP and SL amounts, adjust trailing, hours of trade, when and how long to avoid news, use of recover options etc.

I say for you to test this because as you have seen there are conflicting messages in the thread. People aren't deliberately trying to mislead but trading will vary from broker to broker, some traders adjust some settings but not others, some will opt for higher risk. Coming up with a set that works for everyone is nearly impossible.

In my short experience with the bot:
- the "trading risk" setting adjusts the max loss. It doesn't make the EA more aggressive (if someone has different experience please share)
- the EA doesn't trade very often, sometime days between trades.
- be careful when first loading the EA/starting mt4 with EA attached. Sometimes it takes a trade straight away, not sure if this is coincidence or a bug, still testing, but it seems out of character for the EA.

Good luck and report how you get on.
"As a user, I am very pleased to see feedback from experts with similar experience. This can help everyone use this EA better. Here are some of my usage insights, hoping they will be helpful to everyone:
  1. As you mentioned, the 'Trading Risk' setting adjusts the maximum loss. It does not make the EA more aggressive;
  2. At the same time, I set the 'Exchange Rate' to 1.6-1.8, which allows for larger trade sizes each time (if you are concerned about too much risk, you can set it to 1.0);
  3. I set 'Only one open position' to true, so that only one order is opened per trade. This is because during backtesting, I experienced losses due to having two orders open at once;
  4. For ADP3, I set SL to 260 and TP as large as possible. Since I have enabled trailing stop, setting a larger TP allows for greater profit in trending directions, although most trades eventually close via the trailing stop hitting the SL;
  5. My trailing stop settings are 48/12, which has yielded relatively good results after multiple backtests. I hope everyone can provide better suggestions, as my settings may not be the best;
  6. I loaded the EA on the 15M timeframe. In backtesting, I found it to be relatively better. I believe this helps avoid losses due to slippage, especially for trades initiated at extreme levels.
I welcome any better strategies for discussion by all experts. Thank you!"
 
Your best option is to load ver 1.6 on demo (available in this thread somewhere) set it on 4 different charts with each chart a different ADP. ie one chart ADP1, one chart ADP2 so forth and so on. ADP is the "strategy type" in settings. Leave all other settings as default. Let the bot run for 3-4 weeks and monitor results. DON'T try and rush it, be patient.

Once you have some results you can then start to fine tune the EA to suit your risk appetite and broker ie increase/decrease the TP and SL amounts, adjust trailing, hours of trade, when and how long to avoid news, use of recover options etc.

I say for you to test this because as you have seen there are conflicting messages in the thread. People aren't deliberately trying to mislead but trading will vary from broker to broker, some traders adjust some settings but not others, some will opt for higher risk. Coming up with a set that works for everyone is nearly impossible.

In my short experience with the bot:
- the "trading risk" setting adjusts the max loss. It doesn't make the EA more aggressive (if someone has different experience please share)
- the EA doesn't trade very often, sometime days between trades.
- be careful when first loading the EA/starting mt4 with EA attached. Sometimes it takes a trade straight away, not sure if this is coincidence or a bug, still testing, but it seems out of character for the EA.

Good luck and report how you get on.
Thank you so much bro... Fantastically put. Respects...

People tend to get agitated now a days..as the person who replied to my previous post without realizing what i was looking for.
But i see there are still good people, who understands the real need of the person & respond accordingly... Thank you
 
«Как пользователь, я очень рад видеть отзывы от экспертов с похожим опытом. Это может помочь каждому лучше использовать этот советник. Вот некоторые из моих идей по использованию, надеюсь, они будут полезны всем:
  1. Как вы упомянули, настройка «Торговый риск» регулирует максимальный убыток. Она не делает советника более агрессивным;
  2. В то же время я установил «Обменный курс» на уровне 1,6–1,8, что позволяет каждый раз совершать более крупные сделки (если вас беспокоит слишком большой риск, вы можете установить его на уровне 1,0);
  3. Я установил «Только одна открытая позиция» на значение true, чтобы на сделку открывался только один ордер. Это потому, что во время бэктестинга я понес убытки из-за того, что одновременно открыл два ордера;
  4. Для ADP3 я установил SL на 260 и TP как можно больше. Поскольку я включил трейлинг-стоп, установка большего TP позволяет получить большую прибыль в трендовых направлениях, хотя большинство сделок в конечном итоге закрываются через трейлинг-стоп, достигающий SL;
  5. Мои настройки трейлинг-стопа — 48/12, что дало относительно хорошие результаты после нескольких бэктестов. Надеюсь, каждый сможет дать лучшие предложения, так как мои настройки могут быть не лучшими;
  6. Я загрузил EA на таймфрейме 15M. При бэктестинге я обнаружил, что он относительно лучше. Я считаю, что это помогает избегать потерь из-за проскальзывания, особенно для сделок, инициированных на экстремальных уровнях.
Я приветствую любые лучшие стратегии для обсуждения всеми экспертами. Спасибо!"
Мои настройки трейлинг-стопа
- 36/1 - АДП3
- 49/1 - АДП3
- 73/0,9 - АДП3
- 80/1 - АДП2
Брокер - 3 знака после запятой 2916,800
 
Someone who using ADP1 have a sell trade this morning (GMT)?
I have a sell trade in profit right now however there is no trailing active now even if trailing has ben set to 54/13 and right now profit at 105 pips.
So guys double check your trailing settings if you are using it in real.
 
Someone who using ADP1 have a sell trade this morning (GMT)?
I have a sell trade in profit right now however there is no trailing active now even if trailing has ben set to 54/13 and right now profit at 105 pips.
So guys double check your trailing settings if you are using it in real.
ADP3 has had no trades.
 
ADP1 sell has closed in profit ( because TP hit and not because trailing...)
1 hour ago it opened sell trades in ADP2 and ADP3 and right now Sell trade in ADP3
Lets see how it goes.
BTW: I use all 4 ADP settings on different charts for testing.
 
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