EURCAD – H4 Backtest (May 2021–Apr 2026)
Achieved an outstanding +91.17% net return across 45 total trades through a highly precise, low-frequency swing strategy. This strategy is ideal for precision-focused, steady-growth investors seeking exceptional risk-adjusted performance (Sharpe Ratio: 4.55, Profit Factor: 2.18) and continuous market engagement across both long and short positions. Verified 100% history quality confirms robust, rule-based algorithmic execution for traders willing to tolerate moderate drawdowns (34.49%) in exchange for substantial potential rewards.
EURCAD
H4
Lots: 0
Risk (in %): 5
Max Orders: 0
Stop Loss in points: 480
Take Profit in points: 480
Trailing Start in points: 380
Trailing Step in points: 280
Consecutive Bullish Signals: 9
Consecutive Bearish Signals: 7
Attached files: Test report html, Settings file for MT4 and MT5
This strategy is merely an example and does not guarantee future performance.