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当经过一年的搜寻,测试,想找一条不会发生太大回撤的道路,中途许多次都以为找到了,然后又发现不是,最终我放弃了,未来行情的不确定性,任何情况都有可能发生,其实本没有我想要的那条路。 唯有调整思路了,最终确定主策略不变,采用多参数组合的方式来解决未来不确定性的这个问题。本组合,从回测推演来看,曾在2月,4月,和10月,组合中三套参数均分别发生一次不利行情,另两套参数未发生过。 由此定版本套EA:本EA的建仓,加仓(偶尔会),止盈,止损均为按条件执行,建仓量由原来一单,拆分为5单,分别按5套不同的参数执行交易。由此,回撤率变成了原来的20%~40%,盈利能力则是原来的5倍。原来发生一次20%的回撤,需要两周以上能挽回损失,现在只需要一周,盈利能力发生了质的飞跃。

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天狼EA
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兄台是人工,我是EA,但不知君怎知我的参数是好坏半?

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