Mastering the Alligator Indicator: A Trader's Guide to MT4 Success

Mike 2016.07.01 18:28 17 0 0
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Hey there, fellow traders! Today, let’s dive into the Alligator indicator with the On Alligator vol.1.1 EA for MetaTrader 4. The concept is pretty straightforward: when the lines align in a specific formation, it generates a signal. Always confirm with a fractal before making your move!

What's cool is that you can turn off all features if you want. You can disable the entry and exit signals from indicators, trailing stops, and just keep the martingale strategy running. This way, you can potentially rake in profits without overthinking it—just keep an eye out for Uncle Sam's tax bill! ;)

During optimization, this setup has shown impressive returns with drawdowns between 3% and 9% of the initial deposit, especially when using the Alligator and Fractal indicators together. It’s worth noting that it works best with trailing enabled and martingale turned off.

If you’re looking to manage your risk, you can limit the maximum lot size and tweak other parameters as needed. Don’t hesitate to experiment—you might be pleasantly surprised!

A little request for the developers: please don’t be too harsh on the feedback and feel free to modify the EA for better performance. I attempted to include a self-optimization feature, but it only managed to optimize 3 out of the 9 necessary parameters in an hour and a half. It’s been optimized from September to now, tested over a full year.

Strategy Tester Report
On Alligator vol.1.1
EGlobal-Real (Build 220)

Symbol USDCHF (US Dollar vs Swiss Franc)
Period 1 Hour (H1) 2008.01.02 09:00 - 2008.12.17 23:00
Model Every tick (the most precise mode based on the shortest available time frames)
Parameters MaxLot=0.5; koeff=1.3; risk=0.05; shirina1=0.001; shirina2=0.0003; Ruchnik=false; Vhod_Alligator=true; Vhod_Fractals=true; Vyhod_Alligator=false; OnlyOneOrder=true; EnableMartingail=false; Trailing=true; TP=0; SL=170; TrailingStop=65; profit=0; blue=-8; red=-1; green=3; Fractal_bars=9; visota_fractal=60; spred=10; Koleno=5; Zaderzhka=2000;
Bars in test 6965 Ticks modelled 2826122 Modelling quality 90.00%
Mismatched chart errors 9
Initial deposit 1000.00
Net profit 1473.15 Gross profit 4784.66 Gross loss -3311.52
Profit factor 1.44 Expected payoff 13.15
Absolute drawdown 80.76 Maximum drawdown 654.80 (21.31%) Relative drawdown 21.31% (654.80)
Total trades 112 Short positions (won %) 42 (85.71%) Long positions (won %) 70 (72.86%)
Profit trades (% of total) 87 (77.68%) Loss Trades (% of total) 25 (22.32%)
Largest profit trade 356.10 loss trade -205.67
Average profit trade 55.00 loss trade -132.46
Maximum consecutive wins (profit in money) 10 (149.62) consecutive losses (loss in money) 2 (-394.37)
Maximal consecutive profit (count of wins) 784.21 (9) consecutive loss (count) -394.37 (2)
Average consecutive wins 60 consecutive losses 1

While it might not be the crème de la crème, it definitely gets the job done!

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