Sterling Sniper is one of the Tradingease EA Sniper series, in foreign exchange transactions, the development of a suitable for small capital users, but also in the real disk to maintain a steady profit EA is not easy. Sterling Sniper came into being, with its accurate trading strategy and strict risk control, has become the ideal choice for the majority of traders to achieve stable returns. It is particularly suitable for those traders who wish to achieve steady growth on a low capital starting point. Whether you are new to forex trading or a seasoned investor, this EA can help you find a solid way to profit in the market.

Main features

  • Optimized for small capitalIt allows for safe and sound trading even with smaller capital sizes. This EA has been tested over a long period of time in live trading and has been trusted by users for its excellent performance.
  • Volatility Adaptive MechanismThe company is based on an adaptive mechanism of market volatility, which allows it to respond flexibly even under uncertain market conditions. Executing only one trade at a time and strictly setting stop-losses to ensure clear risk management for each trade, making trading safer.
  • High Frequency Robust TradingThe average execution is 3-4 orders per day, with a holding time of about 12 hours per trade. Backtested with high quality real historical data from Gaussian Bell, the results show positive profitability for more than 10 years of historical backtested data.
  • Accurate matching of currency pairsThis EA has been validated by a large amount of historical data and has performed particularly well against the GBPCHF and GBPCAD currency pairs. This EA focuses on fewer but more precise trading varieties to ensure the stability of earnings. Users simply load the EA onto the 1-minute charts of GBPCHF and GBPCAD and run it without adjusting any parameters, just adjust the lot size according to the position recommendations.
  • Strict Risk Control and Steady Growth, using the trading behavior of [one order at a time, strict stop loss] to ensure that the risk can be controlled under the premise of steady growth. If EA is able to sustain profits under such constraints, it shows that its risk management strategy is very reliable.

Parameter description

  • Dynamic hand counting: Dynamically calculates the number of lots per opening based on the NAV when it is turned on, and turned offis based on a fixed number of lotsOpen Position.
  • Calculation of risk control factor by lot size: Lots are calculated dynamically according to the net value, and the opening volume is calculated per 10,000 USD * factor * 0.01 lot.
  • Customized switch for wind control parameters: When it is turned on, the closing of positions is calculated based on customized parameters, and when it is turned off, the system's internal logical closing mechanism is used.
  • Williams Index Calculation Period: Volatility index, the larger the parameter the lower the unit volume, default 110.
  • take-profit and stop-loss pointsIf you set up a customized risk control parameter, it will take effect at the set value.
  • Maximum spreads for opening positions: Maximum spread allowed when opening a position.

Recommended settings

  • capital: 3000 USD
  • ordinal number: 0.05 lots
  • operating cycle: M1
  • risk retracement:: 40

Backtest Information

Backtesting fundsordinal numberrisk retracementcyclicality
10000.0540M1

GBPCAD 2023.10 ~ 2024.08

profitabilityearnings yield (finance)break-even ratiomaximum retracementTotal number of orders tradedPercentage of profitable tradesPercentage of losing trades
1437.10143.7%10.721.58%33685.42%14.58%
Backtest for the separate test of the two products, because the EA real-time operation of the actual profit and loss performance for the two varieties of sums

GBPCHF 2023.10 ~ 2024.08

profitabilityearnings yield (finance)break-even ratiomaximum retracementTotal number of orders tradedPercentage of profitable tradesPercentage of losing trades
2058.23205.8%4.893.51%34384.26%15.74%
Backtest for the separate test of the two products, because the EA real-time operation of the actual profit and loss performance for the two varieties of sums