AUTOMATE YOUR PROFIT-TAKING PROCESS
Emily
Quick implementation, within one minute
Does not depend on your preferred account or broker
Intelligent money management system integrated in the EA
Tested on real and widened spreads
Technical support
Buy for
1 month

585.58 BYN (240.00 $)

$ 240.00

Buy
3 months

585.58 BYN (240.00 $)

$ 240.00

Buy
6 months

927.16 BYN (380.00 $)

$ 380.00

Buy
1 year

1659.13 BYN (680.00 $)

$ 680.00

Buy
Statistical analysis of robot trade
Symbol AUDCHF Period M15 : 03.01.2011 - 28.08.2019
Initial deposit 15000.0
Parameters -
Total Profit
$ 276727.55
Profit in pips
16739 pips
Yrly Avg profit
$ 31908.12
Yrly Avg % ret
212.72 %
CAGR
39.06 %
# of trades
639
Sharpe ratio
0.23
Profit factor
3.02
Return / DD ratio
30.7
Winning %
69.8 %
Drawdown
$ 9013.39
% Drawdown
18.6 %
Daily Avg profit
$ 113.93
Mthly Avg profit
$ 2660.84
Average trade
$ 862.6
Annual% / Max DD%
2.1
R Expectancy
0.61 R
R Exp score
44.87 R
SQN
6.83
SQN score
1.83
generated by Quant Analyzer

More information

Monthly Performance ($)

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD
2019 3955.84 2394.69 4112.48 3502.57 5912.23 5202.26 1948.42 7025.85 0 0 0 0 34054.34
2018 1161.4 5415.69 4597 3326.73 5014.29 6093.02 2497.72 4649.68 2266.81 2308.92 12191.93 2060.61 51583.8
2017 1610.03 757.69 4573.56 2291.59 2491.91 2524.63 1200.1 4043.69 6821.43 3010.86 2959.2 986.91 33271.6
2016 6673.49 4348.51 1569.34 1841.18 3038.48 3667.37 4734.62 246.72 3225.46 3805.35 21721.64 4919.6 59791.76
2015 28493.36 5208.13 3272.36 4160.12 1734.87 1650.48 -315.52 8742.67 4024.41 978.53 -7465.38 11955.28 62439.31
2014 2746.61 1498.48 -7729.81 0 2109.88 0 4686.33 0 2795.91 0 218.33 1322.39 7648.12
2013 759.34 -0.8 793.04 255.35 2241.14 1385.9 963.11 648.89 1443.24 873.66 1249.58 305.2 10917.65
2012 5139.46 0 0 0 737.64 -3233.97 4082.27 0 829.96 -1294.9 3063.96 572.52 9896.94
2011 563.56 1070.34 440.14 638.1 753.59 -578.22 2439.52 2438.95 2039.53 1097.82 -3779.3 0 7124.03

Stats

Strategy

Wins/Losses Ratio2.31 Payout Ratio (Avg Win/Loss)1.31 Average # of Bars in Trade0
AHPR0.49 Z-Score-0.65 Z-Probability74.22 %
Expectancy433.06 Deviation $ 1658.73 Exposure-999999999 %
Stagnation in Days169 Stagnation in %5.35 %

Trades

# of Wins446 # of Losses193 # of Cancelled/Expired0
Gross Profit $ 413964.25 Gross Loss $ -137236.7 Average Win $ 928.17 Average Loss $ -711.07
Largest Win $ 16703.95 Largest Loss $ -3337.64 Max Consec Wins16 Max Consec Losses4
Avg Consec Wins3.38 Avg Consec Loss1.46 Avg # of Bars in Wins0 Avg # of Bars in Losses0
Symbol AUDCAD Period M15 : 03.01.2011 - 28.08.2019
Initial deposit 15000.0
Parameters -
Total Profit
$ 356879.67
Profit in pips
11910.5 pips
Yrly Avg profit
$ 41172.46
Yrly Avg % ret
274.48 %
CAGR
42.86 %
# of trades
1658
Sharpe ratio
0.17
Profit factor
2.34
Return / DD ratio
12.33
Winning %
66.22 %
Drawdown
$ 28953.82
% Drawdown
15.62 %
Daily Avg profit
$ 123.06
Mthly Avg profit
$ 3431.54
Average trade
$ 536.51
Annual% / Max DD%
2.74
R Expectancy
0.45 R
R Exp score
86.57 R
SQN
6.34
SQN score
4.55
generated by Quant Analyzer

More information

Monthly Performance ($)

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD
2019 11293.39 14891.25 6466.44 12317.73 2813.64 2968.84 9473.79 10338.31 0 0 0 0 70563.39
2018 8508.56 7353.37 8390.45 7116.42 7877.01 9899.83 8314.55 12285.7 -8158.77 25953.26 7466.02 0 95006.4
2017 3232.65 3981.9 4774.08 6625.71 5106.7 5730.67 5985.77 11878.4 7629.16 5634.91 7542.62 5492.9 73615.47
2016 0 222.91 1830.25 4983.79 1507.94 6619.4 1824.88 3141.9 4563.35 1618.65 8234.28 5991.82 40539.17
2015 2286.28 1440.05 1723.58 5283.35 1860.98 4442.15 1968.64 3918.27 3955.37 7659.82 -10089.78 12743.64 37192.35
2014 546.88 -1758.96 2875.33 37.02 1372.57 1034.83 976.38 1426.09 1788.35 1962 2268.64 2907 15436.13
2013 781.55 672.8 332.36 959.55 1457.68 850.35 1682.93 1288.67 821.59 600.46 1177.28 1516.48 12141.7
2012 312.71 795.99 1013.92 674.69 1282.66 -2135.77 2240.63 297.93 803.7 757 545.38 664.4 7253.24
2011 953.74 426.09 -2121.59 2323.14 0 1224.67 0 -809.98 1620.59 669.45 312.58 533.13 5131.82

Stats

Strategy

Wins/Losses Ratio1.96 Payout Ratio (Avg Win/Loss)1.19 Average # of Bars in Trade0
AHPR0.2 Z-Score4.04 Z-Probability0 %
Expectancy215.25 Deviation $ 1419.63 Exposure-999999999 %
Stagnation in Days81 Stagnation in %2.56 %

Trades

# of Wins1098 # of Losses560 # of Cancelled/Expired0
Gross Profit $ 623207.58 Gross Loss $ -266327.91 Average Win $ 567.58 Average Loss $ -475.59
Largest Win $ 26712.62 Largest Loss $ -10778.17 Max Consec Wins12 Max Consec Losses4
Avg Consec Wins2.69 Avg Consec Loss1.37 Avg # of Bars in Wins0 Avg # of Bars in Losses0
Symbol NZDCAD Period M15 : 04.01.2010 - 28.08.2019
Initial deposit 10000.0
Parameters -
Total Profit
$ 289030.5
Profit in pips
5417.3 pips
Yrly Avg profit
$ 29894.99
Yrly Avg % ret
298.95 %
CAGR
40.47 %
# of trades
1521
Sharpe ratio
0.08
Profit factor
1.23
Return / DD ratio
2.17
Winning %
70.74 %
Drawdown
$ 132993.96
% Drawdown
64.35 %
Daily Avg profit
$ 82.46
Mthly Avg profit
$ 2491.64
Average trade
$ 1822.69
Annual% / Max DD%
0.63
R Expectancy
0.07 R
R Exp score
10.71 R
SQN
1.61
SQN score
1.49
generated by Quant Analyzer

More information

Monthly Performance ($)

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD
2019 10545.85 8432.46 51263.27 -4293.24 -29859.48 9702.5 -7544.43 24040.12 0 0 0 0 62287.05
2018 7685.81 6164.37 18238.92 5944.24 17244.98 -82726.03 27441.6 20293.48 5991.47 8473.42 -33421.38 21523.97 22854.85
2017 7190.31 5158.21 5678.26 5313.83 10452.71 -8704.83 27964.12 -14946.2 18479.04 3066.43 7880.74 14903.09 82435.71
2016 12866.42 -9048.41 36026.82 13663.34 15654.32 49831.72 -22577.29 19135.02 13421.39 -26354.74 -73972.59 8907.37 37553.37
2015 1697.2 3502.66 2282.71 5298.62 4017.67 5635.52 2962.74 12405.8 4183.07 9141.57 1131.36 8404.97 60663.89
2014 4312.31 1886.22 800.23 2462.48 136.67 272.59 611.64 120.52 1337.01 2720 2620.23 2021.85 19301.75
2013 931 674.15 -450.99 2117.69 1551.42 2882.09 1213.36 1577.59 -14893.37 385.99 792.66 1041.98 -2176.43
2012 341.94 -780.62 2297.41 381.05 398.64 -14872.92 17.45 -369.28 981.44 188.43 255.1 983.19 -10178.17
2011 6906.67 -5038.3 -12233.02 934.37 1175.12 1217.77 918.22 2732.71 2990.01 1067.16 1026.61 -240.15 1457.17
2010 531.24 195.09 1112.91 753.94 1782.64 3270.18 1218.17 941.76 1456.46 -764.57 2689.57 1643.92 14831.31

Stats

Strategy

Wins/Losses Ratio2.42 Payout Ratio (Avg Win/Loss)0.51 Average # of Bars in Trade0
AHPR0.32 Z-Score-1.43 Z-Probability92.36 %
Expectancy190.03 Deviation $ 4884.81 Exposure-999999999 %
Stagnation in Days1396 Stagnation in %39.61 %

Trades

# of Wins1076 # of Losses445 # of Cancelled/Expired0
Gross Profit $ 1530671.1 Gross Loss $ -1241640.6 Average Win $ 1422.56 Average Loss $ -2790.2
Largest Win $ 47753.19 Largest Loss $ -48571.3 Max Consec Wins14 Max Consec Losses5
Avg Consec Wins3.54 Avg Consec Loss1.46 Avg # of Bars in Wins0 Avg # of Bars in Losses0
Symbol EURAUD Period M15 : 04.01.2010 - 28.08.2019
Initial deposit 10000.0
Parameters -
Total Profit
$ 657848.09
Profit in pips
5384.5 pips
Yrly Avg profit
$ 68075.29
Yrly Avg % ret
680.75 %
CAGR
52.22 %
# of trades
988
Sharpe ratio
0.1
Profit factor
1.33
Return / DD ratio
3.52
Winning %
41.9 %
Drawdown
$ 186885.43
% Drawdown
60.54 %
Daily Avg profit
$ 187.26
Mthly Avg profit
$ 5671.1
Average trade
$ 4643.04
Annual% / Max DD%
0.86
R Expectancy
0.19 R
R Exp score
19.89 R
SQN
2.35
SQN score
0.99
generated by Quant Analyzer

More information

Monthly Performance ($)

Year Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec YTD
2019 10137.58 -16812.95 -19473.98 66306.31 -55738.56 52001.8 21751.66 2768.54 0 0 0 0 60940.4
2018 44755.62 -575.86 26960.54 13206.48 -962.78 -6914.83 0 50627.87 10472.5 91322.57 12434.43 26953.69 268280.23
2017 42428.01 19780.11 23495.46 12034.31 -6238.21 16101.19 14225.7 10160.19 13336.46 -5786.65 -11458.62 13191.92 141269.87
2016 9263.64 38479.75 11539.51 6791.95 -9414.28 -22121.22 6692.39 10812.4 -7468.29 -15613.41 28239.84 -36550.45 20651.83
2015 34140.17 20457.29 4178.02 -5931.07 38537.22 -159923.93 23097.55 29768.98 -42863.04 -2794.46 24006.96 -3272.91 -40599.22
2014 10413.61 -314.19 583.33 -10118.11 36691.65 -109.42 -1028.91 5979 -6766.29 44684.84 19313.92 10904.04 110233.47
2013 5443.8 7395.73 665.99 1018.28 2961.03 3430.83 5704.78 16831.52 -8472.23 11064.88 -6307.92 -418.1 39318.59
2012 -1893.06 3634.71 602.54 -3117.31 9034.04 810.5 -1106.06 1194.83 -1450.71 5908.13 1733.11 -1342.9 14007.82
2011 3619.55 -965.88 2800.71 -1003.07 9319.42 2558.56 2292.35 510.54 691.88 4049.2 1217.79 2069.8 27160.85
2010 425.64 -867.54 3111.01 764.84 913.39 2497.78 962.33 2949.01 607.81 3585.25 1645.35 -10.62 16584.25

Stats

Strategy

Wins/Losses Ratio0.72 Payout Ratio (Avg Win/Loss)1.85 Average # of Bars in Trade0
AHPR0.57 Z-Score-1.41 Z-Probability92.07 %
Expectancy665.84 Deviation $ 9737.03 Exposure-999999999 %
Stagnation in Days777 Stagnation in %22.05 %

Trades

# of Wins414 # of Losses574 # of Cancelled/Expired0
Gross Profit $ 2622586.56 Gross Loss $ -1964738.47 Average Win $ 6334.75 Average Loss $ -3422.89
Largest Win $ 63308.32 Largest Loss $ -37915.25 Max Consec Wins6 Max Consec Losses10
Avg Consec Wins1.8 Avg Consec Loss2.48 Avg # of Bars in Wins0 Avg # of Bars in Losses0
Investment portfolio

A qualitative feature of this Expert Advisor (EA) is its unique investment portfolio developed and tested by professional analysts. The use of this portfolio is aimed at risk diversification as well as at gaining maximum benefit by the EA from volatility of trading instruments.

  • Description
  • Bonus
  • Reviews
Description

Emily is a fully automatic Expert Advisor based on mathematical algorithms of financial decision-making. Using econometric analysis of market volatility enables the EA to determine the speed of price change at the current moment. The EA calculates the current change in deviation of the price from its average value, and based on the median absolute value of this parameter it determines the directionality of the current trend. Thus, Emily makes trading decisions based on detailed mathematical analysis of volatility and market trend movement at the given moment. Being integrated in the EA's algorithm, its money management system is based on averaging down an open position, which is safe for a trader. The volume of a position to be opened is regulated by a trader when enabling the EA and only depends on the amount of capital provided for Emily to invest and the restrictions set by the broker.

  • Quick implementation, within one minute

  • Does not depend on your preferred account or broker

  • Developed specifically for live trading, based on modern market conditions

  • The EA is optimized and does not require any additional adjustment of parameters

  • Stop Four- and five-digit quotations identified automatically

  • Tested on real and widened spreads

  • Intelligent money management system integrated in the EA

  • Technical support

Bonus

The set of the trading system includes a detailed description of the EA's strategy and parameters, user guidelines, and two version of the EA:

Auto — is a set of fully automated Expert Advisors (EAs), with all parameters optimized for each individual instrument of the portfolio. The EAs of this version are fully autonomous financial robots: these are able to trade either simultaneously or separately, being added to charts of the specified instruments and executing transactions only in those instruments.

Custom — refers to a version with open parameters used by a trader to individually adjust all variables of the EA. It can be added to one instrument only, after which it trades only that instrument. Trading simultaneously in various instruments is available, using different trading specifications.

Emily - Custom parameters
Emily - Custom parameters
Emily - Auto parameters
Emily - Auto parameters
Reviews
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08.06.2020

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08.06.2020

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Advantages
Reliable Strategy
Reliable Strategy

A reliable trading strategy underlies the Expert Advisor. It is based on technical market indicators and refined by mathematical methods of compensating losing positions.

Money Management Systems
Money Management Systems

Unique money management systems embedded in the EA enable a trader to adjust and control the EA's trading performance models.

Risk Diversification
Risk Diversification

The functional isolation of the EA's methods enables it to simultaneously invest allocated funds in different instruments and by doing so to diversify the investor's risks.

Autonomous Work
Autonomous Work

The EA's intelligent methods allow it to operate completely autonomously and a trader to enjoy the EA's operation.