Not sure if this is the right place to post. I've developed a few strategies over the past year and I've finally put together my best fully integrated logic without icustom calls. But now a few weeks into the testing phase I find myself in uncharted waters.
I've been trading for 16 years but am new to automated strategies (yes I tried plenty of EAs 10 years ago in mt4) but have also never developed my own until this past years efforts.
I've researched testing historical periods with walk forward validation and understand that you want to params picked not to be the very best to prevent overfitting and not rely on 3 months tests etc.
Heres my issue, i get blue results on almost every symbol on almost any timeframe. I have so much data i need help systematically narrowing down symbol/tf combo and creating the final configs to add to the trading portfolio. I have never done this part before and research alone isnt helping. Its an SMC supply and demand strategy with 7 entry types and 3 filters built in risk control and dual entry for 2 TP levels, SL to BE & TSL logic, very straightforward.
I am willing to give someone who really has the time to help and collaborate during this phase a copy of the finished version for their help and guidance, preferably someone who has tested profitable strategies for live deployment. Or point me to a thorough guide on strategic testing.
Serious consideration only please. thank you
Re: Need help testing a profitable strategy
3Just throw it out here.. so we can start working on it and sharing any changes and updates to it..addtoitfx wrote: Thu Oct 16, 2025 10:18 pm Not sure if this is the right place to post. I've developed a few strategies over the past year and I've finally put together my best fully integrated logic without icustom calls. But now a few weeks into the testing phase I find myself in uncharted waters.
I've been trading for 16 years but am new to automated strategies (yes I tried plenty of EAs 10 years ago in mt4) but have also never developed my own until this past years efforts.
I've researched testing historical periods with walk forward validation and understand that you want to params picked not to be the very best to prevent overfitting and not rely on 3 months tests etc.
Heres my issue, i get blue results on almost every symbol on almost any timeframe. I have so much data i need help systematically narrowing down symbol/tf combo and creating the final configs to add to the trading portfolio. I have never done this part before and research alone isnt helping. Its an SMC supply and demand strategy with 7 entry types and 3 filters built in risk control and dual entry for 2 TP levels, SL to BE & TSL logic, very straightforward.
I am willing to give someone who really has the time to help and collaborate during this phase a copy of the finished version for their help and guidance, preferably someone who has tested profitable strategies for live deployment. Or point me to a thorough guide on strategic testing.
Serious consideration only please. thank you