Description:
Hey fellow traders! Today, I’m excited to share a promising trading setup using the Aver4Sto combined with the Post-Zigzag indicator, specifically for USDJPY. The results have been quite impressive, boasting a profit trade rate of 82.26%! Let’s dive into how you can set this up successfully.
Important: Make sure to insert the Post-Zigzag indicator before anything else!
This strategy is tailored exclusively for USDJPY, and we’re working with a precision point of 0.00001.
Setup 1: Stable Results
- UseMinilot=true — This setup tends to yield stable results.
Setup 2: Higher Risk, Higher Reward
- UseMinilot=false — This setting can lead to larger gains, but watch out, as it can also result in bigger losses when the market swings!
Strategy Tester Report
Aver4Sto + Post-Zigzag
FxPro.com-Real02 (Build 229)
| Symbol | USDJPY (US Dollar vs Japanese Yen) | ||||
| Period | 5 Minutes (M5) 2011.05.02 08:15 - 2011.08.19 23:55 | ||||
| Model | Every tick (the most precise method based on all available timeframes) | ||||
| Parameters | MoneyManagement=true; UseMinilot=true; Lots=0.1; MaximumRisk=0.1; MyStopLoss=800; MyTakeProfit=0; Stopoutlevel=50; Nextopenposition=150; Delay=50; Closebyprofit=false; Maxiposition=5; Needprofit=500; Losscan=500; TimeFrameM1=false; TimeFrameM5=true; TimeFrameM15=true; TimeFrameM30=false; TimeFrameM60=false; TimeFrameM240=false; | ||||
| Bars in test | 23041 | Ticks modelled | 6079450 | Modelling quality | 43.98% |
| Initial deposit | 500.00 | Total net profit | 4273.05 | Gross profit | 5467.34 |
| Profit factor | 4.58 | Expected payoff | 68.92 | Maximal drawdown | 1525.04 (38.43%) |
| Total trades | 62 | Profit trades (% of total) | 50 (80.65%) | Loss trades (% of total) | 12 (19.35%) |

Setup 2: Higher Gains, Higher Losses
| Symbol | USDJPY (US Dollar vs Japanese Yen) | ||||
| Period | 5 Minutes (M5) 2011.05.02 08:15 - 2011.08.19 23:55 | ||||
| Model | Every tick (the most precise method based on all available timeframes) | ||||
| Parameters | MoneyManagement=true; UseMinilot=false; Lots=0.1; MaximumRisk=0.1; MyStopLoss=800; MyTakeProfit=0; Stopoutlevel=50; Nextopenposition=150; Delay=50; Closebyprofit=false; Maxiposition=5; Needprofit=500; Losscan=500; TimeFrameM1=false; TimeFrameM5=true; TimeFrameM15=true; TimeFrameM30=false; TimeFrameM60=false; TimeFrameM240=false; | ||||
| Initial deposit | 500.00 | Total net profit | 4875.37 | Gross profit | 12957.56 |
| Profit factor | 1.60 | Expected payoff | 78.64 | Maximal drawdown | 8715.18 (89.00%) |
| Total trades | 62 | Profit trades (% of total) | 51 (82.26%) | Loss trades (% of total) | 11 (17.74%) |

PS: If you spot any errors while testing on a real account, feel free to drop me an email at rockyhoangdn@gmail.com. Your feedback is always welcome!
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