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Examples of Galileo FX strategies

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XBRUSD – M30 Backtest (Apr 2025–Mar 2026)

Achieved a +524.31% net return with a perfect 100% win rate across 30 trades using a specialized long-only strategy on Brent Crude Oil. This approach is ideal for aggressive traders seeking to maximize bullish oil trends while benefiting from a remarkably stable 0% balance drawdown. Verified 100% history quality confirms ultra-reliable, rule-based algorithmic execution and explosive capital growth through precise M30 trend following.

XBRUSD
M30

Lots: 0.1
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 1500
Take Profit in points: 1800
Trailing Start in points: 1000
Trailing Step in points: 800

Consecutive Bullish Signals: 15
Consecutive Bearish Signals: 9


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

GBPUSD – M30 Backtest (Apr 2023–Mar 2026)

Achieved a +30.15% net return and a 2.10 Profit Factor through a specialized long-only strategy with a high 90.60% win rate. This approach is ideal for risk-averse traders seeking stable GBPUSD growth while maintaining a disciplined 10.74% maximal balance drawdown. Verified 100% history quality confirms robust, rule-based algorithmic execution and consistent capital protection for those prioritizing high-probability long entries.

GBPUSD
M30

Lots: 0.1
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 2600
Take Profit in points: 1800
Trailing Start in points: 500
Trailing Step in points: 300

Consecutive Bullish Signals: 15
Consecutive Bearish Signals: 8


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

JPN225 – Daily Backtest (Apr 2023–Mar 2026)

Achieved a +77.71% net return with an exceptional 10.91 Profit Factor and 88.89% win rate through a specialized long-only strategy. This approach is ideal for institutional-style investors seeking to capture major Nikkei 225 trends with an incredibly low 4.96% maximal balance drawdown. Verified 99% history quality ensures robust, rule-based algorithmic execution and elite capital protection for high-conviction bullish traders.

JPN225
Daily

Lots: 0
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 2600
Take Profit in points: 4600
Trailing Start in points: 0
Trailing Step in points: 0

Consecutive Bullish Signals: 10
Consecutive Bearish Signals: 5


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

US30 – Daily Backtest (Apr 2023–Mar 2026)

Achieved a +270.51% net return with a 1.99 Profit Factor through a specialized long-only strategy capturing major Dow Jones industrial trends. This approach is ideal for aggressive growth-oriented investors looking to capitalize on bullish US equity cycles with a structured, high-yield algorithmic model. Verified 99% history quality confirms robust, rule-based execution and significant capital appreciation for traders prioritizing long-biased index strategies.

US30
Daily

Lots: 0
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 8600
Take Profit in points: 12000
Trailing Start in points: 0
Trailing Step in points: 0

Consecutive Bullish Signals: 10
Consecutive Bearish Signals: 3


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

EURGBP – Daily Backtest (Apr 2023–Mar 2026)

Achieved a +90.44% net return and a strong 3.82 Profit Factor with a 78.26% win rate through disciplined daily trend capture. This strategy is ideal for balanced traders seeking steady capital appreciation on EURGBP with a healthy 1.51 Sharpe Ratio and controlled risk management. Verified 100% history quality confirms robust, rule-based algorithmic execution and consistent performance across both long and short market phases.

EURGBP
Daily

Lots: 0
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 800
Take Profit in points: 1080
Trailing Start in points: 640
Trailing Step in points: 400

Consecutive Bullish Signals: 5
Consecutive Bearish Signals: 6


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

EURCHF – Daily Backtest (May 2023–Apr 2026)

Achieved a +101.86% net return and a robust 3.84 Profit Factor with a high 80.00% win rate through disciplined daily trend capture. This strategy is ideal for balanced traders seeking consistent capital growth and a strong 2.23 Sharpe Ratio while managing a controlled 19.04% maximal balance drawdown. Verified 100% history quality confirms reliable, rule-based algorithmic execution across both long and short positions for long-term stability.


EURCHF
Daily

Lots: 0
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 720
Take Profit in points: 860
Trailing Start in points: 520
Trailing Step in points: 400

Consecutive Bullish Signals: 5
Consecutive Bearish Signals: 5


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

CHFJPY – H4 Backtest (May 2023–Apr 2026)

Achieved a +114.44% net return and a solid 67.16% win rate through systematic H4 trend capture across both long and short positions. This strategy is ideal for active traders seeking high-frequency growth in the yen crosses while maintaining a disciplined 1.11 Sharpe Ratio and structured risk management. Verified 100% history quality confirms robust, rule-based algorithmic execution and consistent capital appreciation for diversified currency portfolios.


CHFJPY
H4

Lots: 0
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 1200
Take Profit in points: 1120
Trailing Start in points: 860
Trailing Step in points: 700

Consecutive Bullish Signals: 6
Consecutive Bearish Signals: 6


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

USDCHF – H1 Backtest (May 2023–Apr 2026)

Achieved a +94.46% net return and a high 79.00% win rate through high-frequency H1 trend capture across 419 total trades. This strategy is ideal for active traders who prioritize a high volume of winning setups and consistent capital growth across both long and short market directions. Verified 100% history quality confirms robust, rule-based algorithmic execution and reliable performance for traders focused on steady intraday accumulation.

USDCHF
H1

Lots: 0
Risk (in %): 3
Max Orders: 0

Stop Loss in points: 780
Take Profit in points: 620
Trailing Start in points: 280
Trailing Step in points: 250

Consecutive Bullish Signals: 6
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.
 

Attachments

NZDUSD – H1 Backtest (May 2023–Apr 2026)

Achieved a massive +846.89% net return across 1,121 total trades through highly active H1 trend capture. This strategy is ideal for high-risk, aggressive growth investors seeking explosive capital expansion 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 significant drawdowns in exchange for substantial potential rewards.

NZDUSD
H1

Lots: 0
Risk (in %): 3
Max Orders: 0

Stop Loss in points: 1080
Take Profit in points: 1280
Trailing Start in points: 0
Trailing Step in points: 0

Consecutive Bullish Signals: 5
Consecutive Bearish Signals: 5


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

AUDJPY – M15 Backtest (May 2023–Apr 2026)

Achieved a solid +20.33% net return across 163 total trades through a balanced, lower-timeframe momentum strategy. This strategy is ideal for risk-conscious, steady-growth investors seeking high risk-adjusted returns (Sharpe Ratio: 1.54) 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 (13.68%) in exchange for substantial potential rewards.

AUDJPY
M15

Lots: 0
Risk (in %): 1
Max Orders: 0

Stop Loss in points: 780
Take Profit in points: 680
Trailing Start in points: 480
Trailing Step in points: 350

Consecutive Bullish Signals: 10
Consecutive Bearish Signals: 9


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

AUDCAD – H4 Backtest (May 2023–Apr 2026)

Achieved a robust +62.68% net return across 38 total trades through a highly selective, higher-timeframe swing strategy. This strategy is ideal for performance-focused, steady-growth investors seeking efficient capital expansion (Profit Factor: 1.61) 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 (26.58%) in exchange for substantial potential rewards.

AUDCAD
H4

Lots: 0
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 860
Take Profit in points: 900
Trailing Start in points: 850
Trailing Step in points: 680

Consecutive Bullish Signals: 7
Consecutive Bearish Signals: 8


Attached files: Test report html, Settings file for MT4 and MT5

This strategy is merely an example and does not guarantee future performance.
 

Attachments

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.
 

Attachments

GBPAUD – H4 Backtest (May 2021–Apr 2026)

Achieved a robust +67.02% net return across 28 total trades through a highly selective, long-bias swing strategy. This strategy is ideal for efficiency-focused, steady-growth investors seeking exceptional trade accuracy (Profit Factor: 2.34, Sharpe Ratio: 3.87) 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 (25.04%) in exchange for substantial potential rewards.

GBPAUD
H4

Lots: 0
Risk (in %): 5
Max Orders: 0

Stop Loss in points: 1180
Take Profit in points: 1190
Trailing Start in points: 1060
Trailing Step in points: 860

Consecutive Bullish Signals: 11
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.
 

Attachments

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